The _________ could be used in an index model to represent common or systematic risk factors. Equity and Capital Markets The _________ could be used in an index model to represent common or systematic risk factors. A) firm size B) industry C) S&P500 index D) capital allocation line Answer: C Learn More : Share this Share on FacebookTweet on TwitterPlus on Google+
If the answers is incorrect or not given, you can answer the above question in the comment box. If the answers is incorrect or not given, you can answer the above question in the comment box.