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tidsaver · 2020年03月08日

官网portfolio case1 Q3

Q3 为什么选A呢, 文中说over time, Pak’s portfolio has higher allocation to in global securities, 为什么还是naive diversification呢。 五年了还一直守着equity fund 和 balance fund感觉选C才合理呀?求答 Arzac Wealth Management Services Case Scenario Q. Which behavioral factor most likely impacted Pak’s decisions on how to construct his investment portfolio over time? A Naive diversification B Home bias C Familiar investing Solution A is correct. Pak constructed his initial investment portfolio through the equal distribution of mutual funds, reflecting simple heuristics or a framing bias. This is an example of a naive diversification strategy (i.e., dividing assets equally among available funds irrespective of the underlying composition of the funds). The equal distribution may also reflect a fear of regret: Pak doesn’t understand which fund will outperform, so he decides to invest in all three equally. B is incorrect because Pak has been increasing his exposure to global securities over time, as he wants to reduce risk by increasing his diversification by investing outside his home market. He does not have a home bias. C is incorrect because Pak did not purchase an investment on the basis of familiarity but declined to purchase his employer’s stock because he felt the company was not performing to expectations.
1 个答案

Olive_品职助教 · 2020年03月09日

嗨,爱思考的PZer你好:


从你提供的题干中我看不到完整题目信息,我看到解析里有一句:dividing assets equally among available funds irrespective of the underlying composition of the funds

equally就是典型的naive diversification。

 


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就算太阳没有迎着我们而来,我们正在朝着它而去,加油!


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