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wxy · 2019年12月03日

为什么要考虑汇率呢?没明白,能不能讲透一点?

Before making recommendations, Kim and Lin discuss the comparability of a number of metrics they have compiled for South African stocks with stocks Lin has identified in Canada through separate analysis.

“In regard to estimating the required rate of return for the South African and Canadian equity markets,” Kim says, “I believe the most important adjustments will be:

  •  accounting for differences in GDP growth rates,
  •  incorporating exchange rate forecasts into the calculations, and
  •  including a country premium for stocks in South Africa.”


  • Q. Which of Kim’s suggested adjustments when comparing the required rates of return for South African and Canadian stocks is least relevant? The adjustment related to:

    1. the country premium.
    2. exchange rate forecasts.
    3. GDP growth rates.

    Solution

    C is correct. Differences in GDP growth rates between countries may exist, but this is not an important consideration specific to estimating required rate of return between the two countries. Both exchange rates and model issues in emerging markets are important considerations that concern analysts estimating required returns in a global context.

    A is incorrect because investing in emerging markets such as South Africa is typically associated with greater expected risk, and analysts may want to consider incorporating a country spread model or a country risk rating model.

    B is incorrect because equity risk premium estimates in home currency terms can be higher or lower than estimates in local currency terms.






1 个答案

maggie_品职助教 · 2019年12月04日

投资不同国家,汇率波动对投资收益率有很大的影响,因为在二级我们所涉及的问题还仅限一国国内,对于外汇风险介绍的比较少。学到三级你就自然明了了。这道题又是比较偏的题目,把答案当做结论记忆就好,请见咱们讲义88页。


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