這題有操縱市場么?
這題是問最不可能是哪項,B項和C項怎么理解
36題,ab怎么不對,尤其a,確實有些是可以分開估的吧,
沒看懂題,老師幫忙講一下這道題,不是期限越長價格卻低嗎
從那句話可以看出是call putoption?
考的哪個知識點?沒看懂什么意思
老師,您好,這題完全沒看懂,您幫講講
請問margin interest paid 的9800如何算出的?
Mittal Tine’s investment portfolio currently consists of stocks in two companies, 40% in Drysdale Banking and the remaining amount in Clamped Oil. Performance measurement information for these two stocks is given in the table below: The covariance between the two stocks is 0.001. Tien is considering adding a third stock, Hillbillies Investors. Hillbillies Investor’s correlation coefficient with the current portfolio is 0.38. Which of the following statements is least accurate? A With Hillbillies added to the portfolio, the variance could be 0.026. B As Tien diversifies, he will reduce the portfolio's unsystematic risk. C The standard deviation of returns for the current portfolio is 15.5%. 這題答案錯了吧,因該是w的平方乘以方差+w的平方乘以方差+2倍w1w2方差1方差2肉12
A,B,C分別代表什么業(yè)務,為什么是A,考的哪個知識點
b怎么理解啊?看不懂下面的解釋
38的講義跟視頻不一樣 是考還是不考阿
Reading 38 視頻跟講義的不一樣 這章節(jié)考還是不考阿
intellectual property是不是所謂的離職后自己的知識技能還可以用?research應該也沒有違反呀?
請問老師為不選A?
程寶問答