Treasury investments that mature in two years

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Reference no: EM13803326

A bank has invested in U.S. Treasury investments that mature in two years. They will be held until maturity. The investments are funded with three-year maturity time deposits. The primary risk this bank faces is

refinancing risk.

reinvestment risk.

off-balance-sheet risk.

credit risk.

liquidity risk.

Reference no: EM13803326

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