單項選擇題已知三年期即期利率為8.7%,二年期即期利率為9.2%,則2年后的一年期遠(yuǎn)期利率是多少()

A、5.8%
B、7.2%
C、7.7%


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3.單項選擇題在以下類型的市政債券中,通常具有較高的風(fēng)險且發(fā)行時具有較高收益率的是哪一類()

A、收入債券
B、有限稅金擔(dān)保債券
C、無限稅金擔(dān)保債券

10.單項選擇題在以下選項中,不符合有效資本市場理論相關(guān)假設(shè)的是哪一項()

A、預(yù)期回報率包含由證券價格變動所帶來的風(fēng)險因素
B、市場中存在大量以利潤最大化為目標(biāo)的參與者,這些參與者相互獨立地對證券進(jìn)行分析和估價
C、投資者通過對證券價格估計緩慢地調(diào)整來反映其對新收到信息的理解

最新試題

一家公司每股股票的現(xiàn)期價格為$50,并且提供了如下資料給股東:股本回報率:15%目標(biāo)留存比率:60%現(xiàn)期普股股息:2.40必要普通權(quán)益報酬率:15%個股貝塔系數(shù):0.8;通過這些數(shù)據(jù)分析,我們可以得出隱含的股價是()。

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An analyst is developing net present value (NPV)profiles for two investment projects.The only difference between the two projects is that Project 1 is expected to receive larger cash flows early in the life of the project,while Project 2 is expected to receive larger cash flows late in the life of the project.The sensitivities of the projects’NPVs to changes in the discount rate is best described as:()

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Which of the following performance measures most likely relies on systematic risk as opposed to total risk when calculating risk-adjusted return?()

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If the degree of financial leverage (DFL)is 1.00,the operating breakeven point compared to the breakeven point,is most likely()

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由于利息率()。

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價格連續(xù)性是市場運作良好的特征之一,它屬于以下哪個類別()。

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關(guān)于如何衡量當(dāng)前收益率,以下哪個選項最正確()。

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

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The stock of GBK Corporation has a beta of 0.65.If the risk-free rate of return is 3% and the expected market return is 9%,the expected return for GBK is closest to()

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當(dāng)投資者被要求使用實際上不屬于他/她的證券來支付股息時,最有可能會用到()。

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