金融分析師 - 金融分析師
By Puput
at 2009-06-16T12:58
at 2009-06-16T12:58
Table of Contents
投信投顧業務員資格測驗題
1.
某風險性資產之預期報酬率12% 標準差0.15
國庫券票面利率5%
如何將所有的資金分配於該風險性資產以及國庫券,
比率為多少才能使預期報酬率為9%
為何答案是 (57%;43%)?
2.
持有一個beta係數2.0的股票,
市場平均報酬率10%
其要求報酬率15%
若無風險利率不變, 市場平均報酬率增加為13% 則該股票要求報酬率為多少?
為何答案是 (21%)
謝謝!
--
1.
某風險性資產之預期報酬率12% 標準差0.15
國庫券票面利率5%
如何將所有的資金分配於該風險性資產以及國庫券,
比率為多少才能使預期報酬率為9%
為何答案是 (57%;43%)?
2.
持有一個beta係數2.0的股票,
市場平均報酬率10%
其要求報酬率15%
若無風險利率不變, 市場平均報酬率增加為13% 則該股票要求報酬率為多少?
為何答案是 (21%)
謝謝!
--
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金融分析師
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By Tracy
at 2009-06-21T11:40
at 2009-06-21T11:40
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at 2009-06-25T01:52
at 2009-06-25T01:52
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at 2009-06-25T14:15
at 2009-06-25T14:15
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at 2009-06-27T08:38
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at 2009-06-28T04:19
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at 2009-06-30T22:10
at 2009-06-30T22:10
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