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A、預(yù)期回報率包含由證券價格變動所帶來的風(fēng)險因素
B、市場中存在大量以利潤最大化為目標(biāo)的參與者,這些參與者相互獨立地對證券進行分析和估價
C、投資者通過對證券價格估計緩慢地調(diào)整來反映其對新收到信息的理解
最新試題
In general,which of the following institutions will most likely have a high need for liquidity and a short investment time horizon?()
An analyst is developing net present value (NPV)profiles for two investment projects.The only difference between the two projects is that Project 1 is expected to receive larger cash flows early in the life of the project,while Project 2 is expected to receive larger cash flows late in the life of the project.The sensitivities of the projects’NPVs to changes in the discount rate is best described as:()
在最近的年度報告中,一家公司報告了如下數(shù)據(jù):根據(jù)其可持續(xù)增長模型預(yù)測,這家公司未來的盈利增長率最有可能是()。
Which of the following is most likely a sign of a good corporate governance structure?()
Which of the following statements is least likely to be an assumption about investor behaviour underlying the Markowitz model?()
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()
假設(shè)一個股票的數(shù)據(jù)如下:貝塔系數(shù):115無風(fēng)險利率:5%市場預(yù)期報酬率:12%股息分配額率:35%預(yù)期股息增長率:12%;使用股息折現(xiàn)模型的方法,盈利乘數(shù)最接近()。
當(dāng)投資者被要求使用實際上不屬于他/她的證券來支付股息時,最有可能會用到()。
分析者使用了下列信息形成了一組價值加權(quán)指數(shù):假設(shè)12月31日,20X5初始的指數(shù)價值為100,那么最后20X6的價值加權(quán)指數(shù)最接近()。
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:()