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  <Questions>
    <Question>
      <Info>They accept and prefer that the risk of the investment is known and well-communicated.  </Info>
      <link />
      <Answers>
        <Answer>
          <Info>Risk takers  </Info>
          <IsCorrect>false</IsCorrect>
        </Answer>
        <Answer>
          <Info>Aggressive investors  </Info>
          <IsCorrect>false</IsCorrect>
        </Answer>
        <Answer>
          <Info>Risk-averse investors  </Info>
          <IsCorrect>true</IsCorrect>
        </Answer>
        <Answer>
          <Info>Sure investors  </Info>
          <IsCorrect>false</IsCorrect>
        </Answer>
      </Answers>
      <Type>Single</Type>
    </Question>
    <Question>
      <Info>This is the possibility that a combination of assets will not meet investment goals or financial objectives.  </Info>
      <link />
      <Answers>
        <Answer>
          <Info>Portfolio risk  </Info>
          <IsCorrect>true</IsCorrect>
        </Answer>
        <Answer>
          <Info>Credit risk  </Info>
          <IsCorrect>false</IsCorrect>
        </Answer>
        <Answer>
          <Info>Liquidity risk  </Info>
          <IsCorrect>false</IsCorrect>
        </Answer>
        <Answer>
          <Info>Market risk  </Info>
          <IsCorrect>false</IsCorrect>
        </Answer>
      </Answers>
      <Type>Single</Type>
    </Question>
    <Question>
      <Info>It is the income, or the additional value derived from an investment, due to change in market price and/or dividends paid directly to the investor.  </Info>
      <link />
      <Answers>
        <Answer>
          <Info>Asset  </Info>
          <IsCorrect>false</IsCorrect>
        </Answer>
        <Answer>
          <Info>Capital gain  </Info>
          <IsCorrect>false</IsCorrect>
        </Answer>
        <Answer>
          <Info>Yield  </Info>
          <IsCorrect>false</IsCorrect>
        </Answer>
        <Answer>
          <Info>Return  </Info>
          <IsCorrect>true</IsCorrect>
        </Answer>
      </Answers>
      <Type>Single</Type>
    </Question>
    <Question>
      <Info>These are unsecured loans issued by the borrowing company.  </Info>
      <link />
      <Answers>
        <Answer>
          <Info>Credit Cards  </Info>
          <IsCorrect>false</IsCorrect>
        </Answer>
        <Answer>
          <Info>Debentures  </Info>
          <IsCorrect>true</IsCorrect>
        </Answer>
        <Answer>
          <Info>Bank Loans  </Info>
          <IsCorrect>false</IsCorrect>
        </Answer>
        <Answer>
          <Info>Business Loans  </Info>
          <IsCorrect>false</IsCorrect>
        </Answer>
      </Answers>
      <Type>Single</Type>
    </Question>
    <Question>
      <Info>Having this means that the investor understands the volatility of different markets.  </Info>
      <link />
      <Answers>
        <Answer>
          <Info>Risk tolerance  </Info>
          <IsCorrect>false</IsCorrect>
        </Answer>
        <Answer>
          <Info>Conservative risk tolerance  </Info>
          <IsCorrect>false</IsCorrect>
        </Answer>
        <Answer>
          <Info>Aggressive risk tolerance  </Info>
          <IsCorrect>true</IsCorrect>
        </Answer>
        <Answer>
          <Info>Moderate risk tolerance  </Info>
          <IsCorrect>false</IsCorrect>
        </Answer>
      </Answers>
      <Type>Single</Type>
    </Question>
    <Question>
      <Info>It is the difference between the worst outcome and the best outcome.  </Info>
      <link />
      <Answers>
        <Answer>
          <Info>Range  </Info>
          <IsCorrect>true</IsCorrect>
        </Answer>
        <Answer>
          <Info>Net Income  </Info>
          <IsCorrect>false</IsCorrect>
        </Answer>
        <Answer>
          <Info>Risk  </Info>
          <IsCorrect>false</IsCorrect>
        </Answer>
        <Answer>
          <Info>Return  </Info>
          <IsCorrect>false</IsCorrect>
        </Answer>
      </Answers>
      <Type>Single</Type>
    </Question>
    <Question>
      <Info>It refers to the overall volatility and fluctuations in the market.  </Info>
      <link />
      <Answers>
        <Answer>
          <Info>Market risk  </Info>
          <IsCorrect>true</IsCorrect>
        </Answer>
        <Answer>
          <Info>Financial risk  </Info>
          <IsCorrect>false</IsCorrect>
        </Answer>
        <Answer>
          <Info>Liquidity risk  </Info>
          <IsCorrect>false</IsCorrect>
        </Answer>
        <Answer>
          <Info>Foreign exchange risk  </Info>
          <IsCorrect>false</IsCorrect>
        </Answer>
      </Answers>
      <Type>Single</Type>
    </Question>
    <Question>
      <Info>This is the risk that the investors may face by holding only one type of asset.  </Info>
      <link />
      <Answers>
        <Answer>
          <Info>Financial risk  </Info>
          <IsCorrect>false</IsCorrect>
        </Answer>
        <Answer>
          <Info>Stand-alone risk  </Info>
          <IsCorrect>true</IsCorrect>
        </Answer>
        <Answer>
          <Info>Portfolio risk  </Info>
          <IsCorrect>false</IsCorrect>
        </Answer>
        <Answer>
          <Info>Credit risk  </Info>
          <IsCorrect>false</IsCorrect>
        </Answer>
      </Answers>
      <Type>Single</Type>
    </Question>
    <Question>
      <Info>With this type of tolerance, investors do not pour in capital to risky investments. Instead, they usually allot their capital to investment vehicles with minimal to no risk. </Info>
      <link />
      <Answers>
        <Answer>
          <Info>Aggressive risk tolerance  </Info>
          <IsCorrect>false</IsCorrect>
        </Answer>
        <Answer>
          <Info>Moderate risk tolerance  </Info>
          <IsCorrect>false</IsCorrect>
        </Answer>
        <Answer>
          <Info>Risk tolerance  </Info>
          <IsCorrect>false</IsCorrect>
        </Answer>
        <Answer>
          <Info>Conservative risk tolerance  </Info>
          <IsCorrect>true</IsCorrect>
        </Answer>
      </Answers>
      <Type>Single</Type>
    </Question>
    <Question>
      <Info>It is the expected periodic cash flow on the investment, either in the form of interest or dividends.  </Info>
      <link />
      <Answers>
        <Answer>
          <Info>Risk  </Info>
          <IsCorrect>false</IsCorrect>
        </Answer>
        <Answer>
          <Info>Return  </Info>
          <IsCorrect>false</IsCorrect>
        </Answer>
        <Answer>
          <Info>Yield  </Info>
          <IsCorrect>true</IsCorrect>
        </Answer>
        <Answer>
          <Info>Capital gain  </Info>
          <IsCorrect>false</IsCorrect>
        </Answer>
      </Answers>
      <Type>Single</Type>
    </Question>
  </Questions>
</Data>