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老师,原版书reading 15中三道题想问下, 1)530页第一题的return objective说IPS Y是对的,我想问下和讲义中的定量考法:当underfunded是,return= discount rate of liability + excess return,这两者有冲突,考试中如何区分? 2)532页第三题的A问希望能解答下为何liability的return是12%,不是19%?难道假设单个liability都是零息债吗? 3)536页第九问的B和C问想问下, - B问说银行想提高credit standards for loan,为何解答说有更多的空间去投below investment grade quality debt? -C问说想尽快的卖掉mortgage,为何解答说decrease the need for liquidity in its security portfolio
精品问答
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