can anyone explain why not option b ? if investor B withdraw or decreases their investment at the end of 1st year then his net return would be greater than investor A? as he will be facing negative returns on smaller investment . or mayb i am not getting the options clearly .
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IT IS ASKING LEAST LIKELY !!
THE ANSWER IS OPTION C BECAUSE IF THERE WAS NO ADDITION OR WITHDRAWAL THE RETURN OF BOTH THE INVESTOR IS GOING TO BE THE SAME IRRISPECTIVE OF THE AMOUNT INVESTED
THE ANSWER IS OPTION C BECAUSE IF THERE WAS NO ADDITION OR WITHDRAWAL THE RETURN OF BOTH THE INVESTOR IS GOING TO BE THE SAME IRRISPECTIVE OF THE AMOUNT INVESTED