A.M-squared
B.Sharpe ratio
C.Treynor ratio
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A.1.84%
B.4.34%
C.3.70%
A.lower.
B.higher.
C.the same.
A.Independent board members comprise a minority proportion on the company's board.
B.The separation of the chief executive position from the chair position on the company's board.
C.Independent board members are allowed to meet shareholders only in the presence of the entire board.
A.net present value and internal rate of return profiles.
B.marginal cost of capital and net present value profiles.
C.marginal cost of capital and investment opportunity schedule.
A.equal for the two projects.
B.lower for Project 1 than for Project 2.
C.greater for Project 1than for Project 2.
A.3.9%
B.6.9%
C.10.8%
A.不适用于逆向浮动利率抵押债券
B.随着券息上升而下降
C.不适用于零息债券
A.货币时间价值的考虑
B.包括资产利润的影响
C.通过公式轻松的获得
A.5.85%
B.6.51%
C.8.57%
最新试题
价格连续性是市场运作良好的特征之一,它属于以下哪个类别()。
A portfolio manager generated a rate of return of 15.5% on a portfolio with beta of 1.2.If the risk-free rate of return is 2.5% and the market return is 11.8%,Jensen’s alpha for the portfolio is closest to:()
A company’s optimal capital budget most likely occurs at the intersection of the()
鲍勃.瓦格纳较喜欢通过资本增值来增加收入,他正在考虑购买一些10年期BBB级的债券。债券的报价相同,但是债券的合约有不同的条款。如果鲍勃预计接下来的两年里利率大幅度下降,那么他最可能会选择()。
Which of the following statements is least likely to be an assumption about investor behaviour underlying the Markowitz model?()
迪莱拉公司的现期普通股息为$1.25。从长远来看,有望以4%的速度增长。假定无风险利率为4.25%,预期市场回报率为8%,个股贝塔系数为0.90,那么迪莱拉公司的个股价格应最接近()。
以下哪个叙述是正确的()。
当编制含有风险资产的无杠杆投资组合时,投资者仅需考虑位于下列那条线上的投资组合集()。
再投资风险()。
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()