金程問(wèn)答習(xí)題集418不理解這個(gè)老是麻煩解釋一下
習(xí)題集389 麻煩講解一下,。賣(mài)cds和賣(mài)credit spread 為什么不同
老師,最后一句話,我記得之前有個(gè)說(shuō)法是企業(yè)內(nèi)部對(duì)沖掉一些多樣性風(fēng)險(xiǎn)是便宜的,但是這里在資本市場(chǎng)對(duì)沖也可以是inexpensive嗎?
老師,麻煩解釋下每個(gè)選項(xiàng)!
百題第九題。請(qǐng)問(wèn)這個(gè)第二句話如果改成是risk tolerance是不是就是對(duì)了?(因?yàn)槭莔aximum amount所以和risk limit有關(guān)?)
Q37, why both answer b and C said correlation equal to 1 but ans b can underestimate risk but ans C I ill overestimate risk? Pls explain in Chinese
40題,loss severity為什么是連續(xù)分布?n
能指細(xì)說(shuō)明a b d 每個(gè)選項(xiàng)如何影響分子分母嗎?
What is CRm?
百題第91題,最后是什么結(jié)果,應(yīng)該都選嗎,原因是什么
Q37,麻煩老師推導(dǎo)一下公式
Can u explain this question in Chinese In detail ?
Why is answer B of Q50 incorrect?
If I would like to reduce debt ratios, should I reduce or increase the leverage ratio?
老師 這道題為什么選D
程寶問(wèn)答