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BASED ON THE INFORMATION IN EXHIBITS 1 & 2, THE EX...
BASED ON THE INFORMATION IN EXHIBITS 1 & 2, THE EXPECTED RETURN FOR CHINA SECTOR PORTFOLIO IS CLOSEST TO
CFA 2018 LEVEL 2 PORTFORLIO QUESTION BANK R48 INTRODUCTION TO MULTIFACTOR MODELS Q BANK
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27. Based on the information in Exhibits 1 & 2, the expected return for China sector portfolio is
closest to:
A. 17.0%.
B. 18.0%.
C. 16.3%.
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27.
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CFA 2018 LEVEL 2 PORTFORLIO QUESTION BANK R48 INTRODUCTION TO MULTIFACTOR MODELS Q BANK