A、投資組合中債券價(jià)格功能的衍生工具
B、在利率變動(dòng)100個(gè)基點(diǎn)的情況下,投資組合價(jià)值變動(dòng)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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A、1.34
B、3.28
C、5.62
A、5.8%
B、7.2%
C、7.7%
A、83.9美元
B、89.2美元
C、105.6美元
A、128.9美元
B、144.6美元
C、153.8美元
A、收入債券
B、有限稅金擔(dān)保債券
C、無(wú)限稅金擔(dān)保債券
最新試題
Which of the following is most likely a sign of a good corporate governance structure?()
根據(jù)以下數(shù)據(jù):利息率5.90%6.00%6.10%債券價(jià)格99.7599.5099.30那么,這個(gè)債券的久期最接近()。
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:()
債券的買賣差價(jià)最直接受到什么影響()。
迪萊拉公司的現(xiàn)期普通股息為$1.25。從長(zhǎng)遠(yuǎn)來(lái)看,有望以4%的速度增長(zhǎng)。假定無(wú)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()。
由于利息率()。
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?()
假定3年期的年付債券的即期匯率為8%,2年期的年付債券即期匯率則為8.75%。由此可得,兩年后,1年期的債券即期匯率是多少()。