A.大約+5%
B.大約-5%
C.大于-5%
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A.1.3年
B.2.3年
C.4.5年
A.名義收益率
B.到期收益率
C.銀行等值收益率
A.24%
B.33%
C.43%
A.$32.50
B.$34.48
C.$35.86
A.12.0%
B.33.6%
C.48.0%
最新試題
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:()
Which of the following is most likely a sign of a good corporate governance structure?()
A公司交易15次(持續(xù)12個月)都是延遲盈余,如果A公司的股本回報率是12%,那么A公司的賬面價值額最接近()。
關(guān)于如何衡量當(dāng)前收益率,以下哪個選項最正確()。
債券的買賣差價最直接受到什么影響()。
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()。
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()
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:()
If the degree of financial leverage (DFL)is 1.00,the operating breakeven point compared to the breakeven point,is most likely()
Which of the following performance measures most likely relies on systematic risk as opposed to total risk when calculating risk-adjusted return?()