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In managing risk-return, the financial manager should Question 1 options: a) Maximize risk to earn the highest return b) Minimize risk to preserve shareholder value

In managing risk-return, the financial manager should

Question 1 options:

a)

Maximize risk to earn the highest return

b)

Minimize risk to preserve shareholder value

c)

Earn the highest return possible

d)

Balance the trade-off between risk and return

Question 2

Which of these would increase a companys current ratio?

Question 2 options:

a)

Increasing total assets by 10%

b)

Increasing current liabilities by 10%

c)

Decreasing current assets by 20%

d)

None of the above

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