NO.PZ2020033002000088
问题如下:
Which of the following statement most accurately distance-to-default in KMV model?
选项:
A.B.
C.
Probability of stock price falling below a threshold
D.Stock price volatility
解释:
A is correct.
考点:Distance-to-default
解析:
The distance-to-default measure is a standardized variable that measures how much the value of firm assets exceeds the liabilities.
equity不就是asset-liability吗