问题如下:
Highly risk-averse investors will most likely invest the majority of their wealth in:
选项:
A.risky assets.
B.risk-free assets.
C.the optimal risky portfolio.
解释:
B is correct.
Although the optimal risky portfolio is the market portfolio, highly risk averse investors choose to invest most of their wealth in the risk-free asset.
风险厌恶投资者不是invest一个组合,只要风险能被一些收益补偿吗?为什么是无风险资产?只能去买国债?