朱同学2021-03-06 18:49:32
13题b选项是因为不是equal to NAV吗?c选项cost少了premium or discount,为什么没错?
回答(1)
Sherry Xie2021-03-08 11:48:47
同学你好,
B选项:equal to NAV , 说法太绝对了。如果ETF持有的是外国证券,那么国外的证券交易所收盘后,本地的ETF仍处于交
易时间,而计算NAV是基于国外交易所的收盘价,这时对ETF进行交易就会由于时间差异而出现折价或溢价。
C选项:说法正确,找关键词就行了 commission 和 Bid-sak spread,注意点是发生在purchase and sale. 原版书原文:ETF trading costs, such as commissions and bid–ask spreads, are incurred only at purchase and sale, and their return impact diminishes over longer holding periods, whereas management fees and other ongoing costs become a more significant proportion of total costs. Tracking error can be considered a positive or negative implicit cost。
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