單項選擇題某投資者對某風(fēng)險投資項目進行了245萬美元的投資,該項投資預(yù)計在第三年年末可以帶來700萬美元的回報,已知資金成本為15%。如果在上述三年中各年度的項目失敗的概率依次為25%、15%和12%,則該投資項目的預(yù)期投資凈現(xiàn)值(NPV)最接近于()

A、132066美元
B、148235美元
C、207832美元


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2.單項選擇題在期貨市場上,清算所最不可能從事以下哪項活動()

A、決定各項合約的交易
B、制定初始保證金和維持保證金的金額
C、擔(dān)任各筆交易的對手方

5.單項選擇題固定收益投資組合的久期最適合被解釋為()

A、投資組合中債券價格功能的衍生工具
B、在利率變動100個基點的情況下,投資組合價值變動的百分比
C、獲得投資組合現(xiàn)金流現(xiàn)值的加權(quán)平均年份數(shù)

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一美國投資者于一年前購買了18,000英鎊的英國發(fā)行的證券。當時一英鎊等于$1.75。假設(shè)這一年里,沒有任何的股息收益.?,F(xiàn)在這些證券的價值達24,000英鎊。一英鎊等于$1.88,那么總的美元收益最接近()。

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