單項選擇題In general,which of the following institutions will most likely have a high need for liquidity and a short investment time horizon?()

A.Banks
B.Endowments
C.Defined benefit pension plans


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1.單項選擇題According to the Capital Asset Pricing Model (CAPM),the market portfolio()

A.includes all risky assets invested in equal amounts.
B.is exposed to both unsystematic and systematic risk.
C.is perfectly positively correlated with other portfolios on the CML.

5.單項選擇題Which of the following is most likely a sign of a good corporate governance structure?()

A.Independent board members comprise a minority proportion on the company's board.
B.The separation of the chief executive position from the chair position on the company's board.
C.Independent board members are allowed to meet shareholders only in the presence of the entire board.

6.單項選擇題A company’s optimal capital budget most likely occurs at the intersection of the()

A.net present value and internal rate of return profiles.
B.marginal cost of capital and net present value profiles.
C.marginal cost of capital and investment opportunity schedule.

10.單項選擇題再投資風險()。

A.不適用于逆向浮動利率抵押債券
B.隨著券息上升而下降
C.不適用于零息債券

最新試題

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?()

題型:單項選擇題

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()。

題型:單項選擇題

Which of the following statements is least likely to be an assumption about investor behaviour underlying the Markowitz model?()

題型:單項選擇題

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。債券的報價相同,但是債券的合約有不同的條款。如果鮑勃預(yù)計接下來的兩年里利率大幅度下降,那么他最可能會選擇()。

題型:單項選擇題

再投資風險()。

題型:單項選擇題

對于一個基于結(jié)構(gòu)性因素的市場來說,以下哪項能夠證明市場異常()。

題型:單項選擇題

一家公司債券,應(yīng)稅收益率為7%。稅級為30%,那么投資者的稅后收益率將會是()。

題型:單項選擇題

假設(shè)一個股票的數(shù)據(jù)如下:貝塔系數(shù):115無風險利率: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()。

題型:單項選擇題

為了將分散化的利益最大化,投資者應(yīng)添加的證券與當前投資組合之間的相關(guān)系數(shù)應(yīng)最接近()。

題型:單項選擇題

根據(jù)以下數(shù)據(jù):利息率5.90%6.00%6.10%債券價格99.7599.5099.30那么,這個債券的久期最接近()。

題型:單項選擇題