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Risk-aversion of an investor can be measured by

Looking for the answer to the question below related to Financial Management?

Risk-aversion of an investor can be measured by

 Options:

A. Market Rate of Return
B. Risk-free Rate of Return
C. Portfolio Return
D. None of the above.

 

The Correct Answer Is:

  • D. None of the above.

 

Conclusion

I hope you got the answer to your question.

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