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CFA三级

CFA三级

包含CFA三级传统在线课程相关提问答疑;

专场人数:1541提问数量:40987

lower credit quality and a higher concentration in commodities. 怎么可能债的portfolio 买大宗商品啊

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第5问,这里回答overconfidence的illusion of knowledge是否更合适?case中并没有提及先前的52-week high或者最近的高点,没有anchor对应的锚定数值,只有这一句话提到了80这个数字

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1. 第2问,答案并没有列举具体的example,是否可以将G同学认为股价会反弹至新的52周高点作为example写在答案中证明overconfidence?2. 考试时会像经典题一样一道题给一部分case内容,还是跟选择题一样,case在一侧,题干在另一侧?

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第一问,股价下跌超过20%,article上的statement让G同学坚定了股价会反弹的预期,这个是否算availability bias

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老师,您好,这个题怎么思考呀,问题如下,谢谢啦,The fund in Exhibit 3 that is most consistent with Quint’s requirements is: Ash. Blue. March.

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老师,您好,high incentive fee可以导致收益波动增大,为啥,comments的higher fees为啥不对呢,谢谢啦/题目如下:Noting that MFC has two managers who use the same index as their benchmark, Shaw observes that Fund A and Fund B have similar Active Share and a similar number of positions, but Fund A’s realized active risk of 7% is almost three times greater than that of Fund B. Shaw makes the following comments:/ I think Fund B makes a lot of sector bets./ Fund A likely has higher fees than Fund B / Fund A should have a greater dispersion of returns about the benchmark.

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啥意思,经济不达预期反而要加息降温,什么东西啊

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加息的话债券下跌收益率上升,是提供了更高的return啊,只是equity不对吧?

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2022年mock2 PM 第3题,C项long put optionon futures是short volatility吗,题目预期波动率上升,应该long call option呀?

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这类题一直错。请老师再详细讲一下。 另factor neutral是哪种情况?

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