Question

Assume the expected inflation rate in Finland is 3.3 percent compared to 2.4 percent in the U.S. A risk-free asset in the U.S. is yielding 4.3 percent. What approximate real rate of return should you expect on a risk-free Finnish security?

A) .9 percent

B) 1.9 percent

C) 2.1 percent

D) 2.5 percent

E) 3.4 percent

Answer

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