第一問不用GKmodel是因?yàn)槭菍?duì)整個(gè)市場(chǎng)進(jìn)行預(yù)測(cè)是吧?GK針對(duì)單個(gè)公司?
?老師對(duì)ST模型的板書是不是有點(diǎn)問題,計(jì)算segmented部分的風(fēng)險(xiǎn)溢價(jià)時(shí)不應(yīng)該使用segmented?market?的sharp?ratio嗎?但板書里直接用了global?market的sharp?ratio?,這里是否有誤?
課后題13頁(yè)第2題b選項(xiàng)中provide false signal是economic indicator啊
債券收益率和經(jīng)濟(jì)周期的問題,請(qǐng)老師再總結(jié)一下
老師好,這題的A選項(xiàng),為什么是Politics而不是Competitiveness呀 In reviewing Countries B and C, Bader’s research assistant comments that emerging markets are especially risky owing to issues related to politics, competition, and accounting standards. As an example, Bader and her assistant discuss the risk implications of the following information related to Country B: *Experiencing declining per capita income *Expected to continue its persistent current account deficit below 2% of GDP *Transitioning to International Financial Reporting Standards, with full convergence scheduled to be completed within two years Q. Based only on the emerging markets discussion, developments in which of the following areas most likely signal increasing risk for Country B’s equity market? A Politics B Competitiveness C Accounting standards 答案選了A我選了B。A is correct. Per capita income for Country B has been falling, which is a potential source of political stress.
老師您好,對(duì)于課后題19頁(yè)8題:第一種方法trade: 里面考慮了第三點(diǎn)current account imbalance,這個(gè)怎么影響匯率?第二種方法capital flow:里面考慮了第二點(diǎn)capital mobility怎么影響匯率?第三點(diǎn)hot money flow怎么影響匯率?
老師您好,inflation above or below expectation對(duì)于bond來(lái)說為什么都是不利影響?Deflation為什么是有利影響?
老師您好,課后題15頁(yè)12題:老師您能幫忙總結(jié)一下5個(gè)不同階段:對(duì)bond yield, equity return, short term interest的影響嗎?
老師您好,課后題24頁(yè)20題中,老師講解:current account deficit,說明出口大于進(jìn)口,競(jìng)爭(zhēng)力是強(qiáng)的,risk下降;但在23題中,說countryA的current account deficit增加,風(fēng)險(xiǎn)是最大的。這是矛盾了嗎?
老師:為什么cap rate和vacancy rate是正相關(guān)的呢?
C國(guó)的風(fēng)險(xiǎn)再低,也比A國(guó)高啊,折現(xiàn)率降低,資產(chǎn)價(jià)格上升,那A國(guó)的折現(xiàn)率更低,價(jià)格不是更高嗎?為什么還要轉(zhuǎn)到C國(guó)?轉(zhuǎn)的目的是為了收益更高還是風(fēng)險(xiǎn)更低?
老師好,CME這個(gè)科目現(xiàn)在做題還是不知所云,讀不懂問題,不知道考點(diǎn)是啥,該怎么繼續(xù)復(fù)習(xí)下去?(其他的科目讀完題目能知道考點(diǎn)是啥,不會(huì)做還可以定向去看講義。唯獨(dú)CME都不知道問題在問啥)
老師好,想請(qǐng)教一下CME ppt 第57頁(yè)提到的 the change in the deficit這個(gè)知識(shí)點(diǎn),因?yàn)闆]有細(xì)說增加還是減少時(shí)分別執(zhí)行的是什么樣的財(cái)政政策。我的理解是:當(dāng)△deficit > 0 時(shí),說明赤字越來(lái)越大,是因?yàn)間overnment spending↓,tax↑,所以執(zhí)行的是緊縮的fiscal policy。反過來(lái)當(dāng)△deficit < 0 時(shí),執(zhí)行的是寬松的fiscal policy。這樣理解正確嗎?
8題怎么回答
課后題16頁(yè)14題請(qǐng)老師再講下,沒看懂視頻
程寶問答