A.实际收益率
B.预期收益率
C.必要收益率
D.无风险收益率
A.40000
B.29803.04
C.39489.6
D.58344
A.普通年金终值
B.预付年金终值
C.递延年金终值
D.永续年金终值
A.2.9927
B.4.2064
C.4.9927
D.6.2064
A.β系数可以为负数
B.市场组合的β系数等于1
C.投资组合的β系数一定会比组合中任一单项证券的β系数低
D.β系数反映的是证券的系统风险
A.5.58%
B.9.08%
C.13.52%
D.17.76%
A.1434.29
B.1248.64
C.1324.04
D.1655.05
A.13382
B.17623
C.17908
D.31058
A.24%
B.12.36%
C.6%
D.12.25%
A.332
B.37908
C.5276
D.1638
A.2.01%
B.4.00%
C.4.04%
D.4.06%
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