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Arnie · 2023年07月20日

哪里看到了客户风险的承受能力是多少呢?

* 问题详情,请 查看题干

NO.PZ201805280100000302

问题如下:

A broker proposes to Young three portfolios, shown in Exhibit 1. The broker also provides Young with asset class estimated returns and portfolio standard deviations in Exhibit 2 and Exhibit 3, respectively. The broker notes that there is a $500,000 minimum investment requirement for alternative assets. Finally, because the funds in the money market account are readily investible, the broker suggests using that account only for this initial investment round.


Young wants to earn at least 6.0% after tax per year, without taking on additional incremental risk. Young’s capital gains and overall tax rate is 25%.

Determine which proposed portfolio most closely meets Young’s desired objectives. (Circle one.) Justify your response.


选项:

解释:



1、客户至少要达到6%的收益,越高不是越好吗?如果说还要匹配客户的收益,虽然说了不增加客户的风险,但是也没看到客户的具体的风险在哪里,单独的靠exhibit3 只能得到哪个组合的风险最大,最小。


1 个答案
已采纳答案

lynn_品职助教 · 2023年07月21日

嗨,爱思考的PZer你好:


1、客户至少要达到6%的收益,越高不是越好吗?如果说还要匹配客户的收益,虽然说了不增加客户的风险,但是也没看到客户的具体的风险在哪里,单独的靠exhibit3 只能得到哪个组合的风险最大,最小。


是的,越高越好,同学应该是看到了这句话:


Young wants to earn at least 6.0% after tax per year, without taking on additional incremental risk. 这一句提到风险目标。


但特殊在于这个题目是将收益和风险分开组合,即第一个标准是收益要满足最低6%,计算后发现三个组合都满足;


第二个标准是风险尽可能低,即要选择标准差或者方差最低的组合。


我们就可以选出答案了。

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虽然现在很辛苦,但努力过的感觉真的很好,加油!

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