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QUESTIONS 115 THROUGH 120 RELATE TO PORTFOLIO MANA...
QUESTIONS 115 THROUGH 120 RELATE TO PORTFOLIO MANAGEMENT
MOCK AND SAMPLE EXAMS CFA LEVEL I MOCK EXAM MORNING 2012
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118. Risk that can be attributed to factor(s) that impact a company or industry is best described as: A. market risk. B. systematic risk. C. unsystematic risk.
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118.
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MOCK AND SAMPLE EXAMS CFA LEVEL I MOCK EXAM MORNING 2012