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506623496 · 2023年07月07日

risk free asset

NO.PZ2022122801000032

问题如下:

PZ endowment’s overall investment objective is to maintain its portfolio’s real purchasing power after distributions.

• The risk-free rate is 2%.

• An expected inflation rate is 1.5%.

• The cost of earnings investment returns is 50 bp.

• PZ targets a 3% annual distribution of assets.

Exhibit 1 gives key outputs from a mean–variance optimization in which asset class weights are constrained to be non-negative.

To achieve PZ’s expected return, the most appropriate percentage for PZ’s investment in corner portfolio is:

选项:

A.

77%

B.

61%

C.

51%

解释:

PZ’s assets shall be invested with the objective of earning an average nominal 5.07% annual return. This level reflects a spending rate of 3%, an expected inflation rate of 1.5%, and a 50bp cost of earning investment returns. The calculation is (1.03)(1.015)(1.005)−1 = 0.0507, or 5.07%.

Note that Portfolio 4 has the highest Sharpe ratio and is the tangency portfolio. With an expected return of 5.07%, it can be combined with the risk-free asset, with a return of 2%, to achieve an expected return of 5.07%:

5.07% = 6%w + 2%×(1−w)

w = 76.75%

Placing about 77% of assets in Portfolio 4 and 23% in the risk-free asset achieves an efficient portfolio with expected return of 5.07%.

这里无风险利率是默认名义利率吗

1 个答案

lynn_品职助教 · 2023年07月09日

嗨,努力学习的PZer你好:


对,默认是名义利率


无风险利率是指没有风险的情况下可以获得的收益率,通常以名义利率的形式表示。

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努力的时光都是限量版,加油!

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