A、利率
B、消費(fèi)者的收入
C、實(shí)物資本的MRP
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你可能感興趣的試題
A、銷售者必須具有相對于銷售額而言較高的廣告預(yù)算
B、銷售者必須能夠避免消費(fèi)者再次出售相關(guān)產(chǎn)品
C、銷售者必須擁有至少兩組具有完全不同產(chǎn)品需求價格彈性的消費(fèi)者群體
A、出售者支付全部稅金
B、購買者承擔(dān)全部稅負(fù)
C、購買者與出售者共同承擔(dān)稅負(fù)
A、消費(fèi)者剩余
B、消費(fèi)者赤字
C、生產(chǎn)者剩余
A、-1.87
B、-0.36
C、-0.15
A、41.085~44.915
B、40.218~45.782
C、39.916~46.084
最新試題
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 that sells ice cream is evaluating an expansion of its production facilities to also produce frozen yogurt.A marketing study has concluded that producing frozen yogurt would increase the company’s ice cream sales because of an increase in brand awareness.What impact will the cash flows from the expected increase in ice cream sales most likely have on the NPV of the yogurt project?()
一家公司每股股票的現(xiàn)期價格為$50,并且提供了如下資料給股東:股本回報(bào)率:15%目標(biāo)留存比率:60%現(xiàn)期普股股息:2.40必要普通權(quán)益報(bào)酬率:15%個股貝塔系數(shù):0.8;通過這些數(shù)據(jù)分析,我們可以得出隱含的股價是()。
A公司交易15次(持續(xù)12個月)都是延遲盈余,如果A公司的股本回報(bào)率是12%,那么A公司的賬面價值額最接近()。
Which of the following statements is least likely to be an assumption about investor behaviour underlying the Markowitz model?()
價格連續(xù)性是市場運(yùn)作良好的特征之一,它屬于以下哪個類別()。
菲費(fèi)爾公司公布了如下財(cái)政數(shù)據(jù):營運(yùn)利潤率:10%資產(chǎn)周轉(zhuǎn)率:4.0x財(cái)務(wù)杠桿率:1.2x有效所得稅率:30%銷售額:$100,000,000;假設(shè)這家公司沒有拖欠任何債務(wù),它的股本回報(bào)率最接近()。
In general,which of the following institutions will most likely have a high need for liquidity and a short investment time horizon?()
If the degree of financial leverage (DFL)is 1.00,the operating breakeven point compared to the breakeven point,is most likely()
鮑勃.瓦格納較喜歡通過資本增值來增加收入,他正在考慮購買一些10年期BBB級的債券。債券的報(bào)價相同,但是債券的合約有不同的條款。如果鮑勃預(yù)計(jì)接下來的兩年里利率大幅度下降,那么他最可能會選擇()。