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请老师指教,第二问如下理解错在哪里?谢谢。 The investment also gives the company a production- flexibility option allowing the company to add shifts at the end of the first year if demand turns out to be high. (如果第一年末demand is high, 公司行权)If the company exercises this option, net cash flows would increase by an additional C$5 million in Years 2–10. What is the NPV (C$ millions) of the optimal set of investment decisions for Bouchard Industries including the production- Flexibility option? optimal情况下构建现金流:第一年末40,然后公司行使flexibility option, y2-y10每年末现金流= 5+(40+20)/2=35,即: CF0=-190, C01=40,F01=1, C02=35,F02=9, I=10, 计算得到:NPV=29.6
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- 这两个的逻辑都很奇怪 sponsor薪资和业绩挂钩的话他会更用心选基金经理那么一类和二类错误都应该下降吧 monitor这个词是监控的意思 我觉得你很难监控一个没跟你签雇佣合同的基金经理的表现
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