A-A+

Portfolio theory as described by Markowitz is

2022-08-05 14:38:00 问答库 阅读 168 次

问题详情

Portfolio theory as described by Markowitz is most concerned with______.
A.the effect of diversification on portfolio risk
B.the elimination of systematic risk
C.active portfolio management to enhance return
D.the identification of unsystematic risk请帮忙给出正确答案和分析,谢谢!

参考答案

正确答案:A
解析:答案为A项。马柯维茨描述的资产组合理论主要着眼于分散化对于资产组合风险的影响。故本题选A项。

考点: