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四表一注的note与之前学的Other relevant information里的“financial notes and supplementary schedules是一个东西吗?还是其余的MD&A和proxy statement等等,这些是在哪张表里的,other relevant information应该不是一张表吧?
已回答想问一下题目里这句hold foreign exchange reserves banking 100% of its domestic currency insurance怎么翻译理解呢?
查看试题 已解决In this case, the mean difference is 1.4. The sample variance is 36.8. The standard error of the mean difference is 2.712932. The t-statistic is 0.51605. 老师,The standard error of the mean difference is 2.712932,怎么计算出来的,能具体写下步骤么? The standard error of the mean difference is 2.712932,辛苦写下计算步骤。
查看试题 已回答01.单选题 收藏 标记 纠错 Freytag Company currently has assets on its balance sheet that are financed with 60% equity and 40% debt. The company can issue debt at the yield of 8% when the value of the debt doesn't exceed 1 million. If larger amounts of debt are issued by the company, the yield of the debt will be 9%. Calculate the break points for the company. A 1 million. B 1.67 million. C 2.5 million. 这题和Breakeven analsis 的公式不匹配么 ,没搞懂这个题目解题的逻辑是什么 从答案来看 债务的价值除以比重,得到到的总资产啊。怎么总资产会成为break point 了呢 课上的逻辑 breakpoint 指的是产品的数量啊
查看试题 已回答精品问答
- Q3:解析里面Team Purple’s conclusion (the externalities associated with human capital is the most important determinant in predicting the occurence of convergence) implies that the production function is a straight line, and is compatible with non-convergence.这段话中 externalities associated with human capital具体是什么?怎么得到the production function is a straight line这个结论呢?
- Effective duration和Effective convexiy的公式为什么不用modified duration和convexity的原本公式,而是和他们的近似的久期和突性的公式一致?
- Risk Budget and risk parity 第二道思考题,里面的Variance是不是完全是个冗余信息,给来误导的呀?
- liability relatibe asset allocation这三种方式的区别是什么呀 怎么区分
- 为什么半年付息 算ytm是乘以2 而年化的麦考利久期是除以2
- 为什么长期垄断竞争中 D和ATC相切
- Growth due to capital deepening 是αΔK/K还是ΔK/K
- m上升 EAR为什么上升 以及为什么又不变






