What is currently the real rate of return for an investor in the 10-year Treasury? What about the after-tax real rate of return? State where you obtained the rate for the 10-year bond and the inflation rate. What impact do you believe it has on investors’ overall risk-taking appetite?
Identify the target behavior and begin to develop your rationale for selecting it. What was the assessment process followed? What was the function of
Identify the target behavior and begin to develop your rationale for selecting it. What was the assessment process followed? What was the function of the problem behavior?