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chyje2007 · 2018年08月13日

问一道题:NO.PZ2015121802000054 [ CFA I ]

问题如下图:

选项:

A.

B.

C.

解释:

按照答案解释b选项也是对的呀

1 个答案

Shimin_CPA税法主讲、CFA教研 · 2018年08月14日

B选项有两个错误:一是risky asset expected return=13.4%,  market portfolio expected return=12%,是more than;二是这两个值比大小不能决定是short/long risky asset。应该用11.85%和13.4%对比。

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