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QUESTIONS 19 THROUGH 24 RELATE TO RISK MANAGEMENT...
QUESTIONS 19 THROUGH 24 RELATE TO RISK MANAGEMENT SELENA ROBERTS CASE...
VOLUME II BEHAVIORAL FINANCE INDIVIDUAL INVESTORS AND INSTITUTIONAL INVESTORSCFA LEVEL 3CFA FINQUIZ LEVEL3MOCK2018VERSION2JUNEPMQUESTIONS
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20. Using Exhibit 1, the expected return on the hypothetical portfolio is closest to: A. – 3.53%. B. + 6.62% C. + 13.67%.
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20.
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VOLUME II BEHAVIORAL FINANCE INDIVIDUAL INVESTORS AND INSTITUTIONAL INVESTORSCFA LEVEL 3CFA FINQUIZ LEVEL3MOCK2018VERSION2JUNEPMQUESTIONS