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QUESTION 38 Standard Deviation is an absolute measure of risk because O A. It allows companies to measure projects with different expected values B. It

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QUESTION 38 Standard Deviation is an absolute measure of risk because O A. It allows companies to measure projects with different expected values B. It measures risk in an absolute fashion, risk is measure based on the expected value. C. It can only be used to compare projects with the same expected value. D. Both B&C QUESTION 39 A firm using a Leveraged vs a Conservative Capital Structure would have the following characteristics: 1. More flexible to changes in the economy II. Less flexible to changes in the economy m. More Debt vs Equity iv. Past their break even points at higher levels of production, higher Earnings Per Share (EPS) OA.A.I&1 . . OC.C. lll & IV ODD. II,III & IV

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