A.3.9%
B.6.9%
C.10.8%
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A.不適用于逆向浮動(dòng)利率抵押債券
B.隨著券息上升而下降
C.不適用于零息債券
A.貨幣時(shí)間價(jià)值的考慮
B.包括資產(chǎn)利潤(rùn)的影響
C.通過公式輕松的獲得
A.5.85%
B.6.51%
C.8.57%
A.2.1%
B.4.9%
C.10.0%
A.封頂?shù)母∠?br />
B.抵押擔(dān)保債券
C.不可退還的逆向浮動(dòng)利率抵押債券
最新試題
迪萊拉公司的現(xiàn)期普通股息為$1.25。從長(zhǎng)遠(yuǎn)來看,有望以4%的速度增長(zhǎng)。假定無風(fēng)險(xiǎn)利率為4.25%,預(yù)期市場(chǎng)回報(bào)率為8%,個(gè)股貝塔系數(shù)為0.90,那么迪萊拉公司的個(gè)股價(jià)格應(yīng)最接近()。
In general,which of the following institutions will most likely have a high need for liquidity and a short investment time horizon?()
關(guān)于如何衡量當(dāng)前收益率,以下哪個(gè)選項(xiàng)最正確()。
Which of the following statements is least likely to be an assumption about investor behaviour underlying the Markowitz model?()
Which of the following performance measures most likely relies on systematic risk as opposed to total risk when calculating risk-adjusted return?()
The stock of GBK Corporation has a beta of 0.65.If the risk-free rate of return is 3% and the expected market return is 9%,the expected return for GBK is closest to()
當(dāng)編制含有風(fēng)險(xiǎn)資產(chǎn)的無杠桿投資組合時(shí),投資者僅需考慮位于下列那條線上的投資組合集()。
價(jià)格連續(xù)性是市場(chǎng)運(yùn)作良好的特征之一,它屬于以下哪個(gè)類別()。
假設(shè)一個(gè)股票的數(shù)據(jù)如下:貝塔系數(shù):115無風(fēng)險(xiǎn)利率:5%市場(chǎng)預(yù)期報(bào)酬率:12%股息分配額率:35%預(yù)期股息增長(zhǎng)率:12%;使用股息折現(xiàn)模型的方法,盈利乘數(shù)最接近()。
If the degree of financial leverage (DFL)is 1.00,the operating breakeven point compared to the breakeven point,is most likely()