Describe the strategy behind buyout funds.
Answer to relevant QuestionsMany people think of risk as the danger of losing money. Is this the same way that risk is defined in finance? How does the Tax Relief Act of 2003 affect the relative attractiveness of long-term capital gains versus dividend income? (A general statement will suffice.) How has the definition of an insider (inside trader) expanded over the past two decades? Define a “qualified investor.” How does the Treynor approach differ from the Sharpe approach? Which of the two measures assumes unsystematic risk will be diversified away?
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