Which indicated most bearish behaviour a) Large increase in IPO B) Higher than average cash balance in mutual funds c) Increase in margin debt but still less than long term average
the economics part seems the most challenging 2 me ..
any suggestions pls ?? how to tackle it ?
thanks
This is probably cz of the fact that u r nt use to ecomics or economcs terms........to get use to it just start reding business newspapers........there u will find similar terminologies........n u will get use to it gradually
Jayce Arnold, a CFA candidate, is studying how the market yield environment affects bond prices. She considers a $1,000 face value, option-free bond issued at par. Which of the following statements about the bond €™s dollar price behavior is most likely accurate when yields rise and fall by 200 basis points, respectively? Price will: