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here's another one:
A socially responsible portfolio tends to shun:
A) basic industries and technology stocks.
B) financial and energy stocks.
C) basic industries and energy stocks.
Your answer: B was incorrect. The correct answer was C) basic industries and energy stocks.
Socially responsible portfolios usually shun basic industries and energy stocks, which tend to be value stocks. This accounts for the bias towards growth stocks in socially responsible portfolios
why would it shun "basic industries" |
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