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尼克内姆 · 2020年05月24日

问一道题:NO.PZ2018062016000028 [ CFA I ]

问题如下:

When T=0, Peter bought a share of stock for $500. When T=1, he earned a dividend of $5 and bought 3 shares of the same stock for $510 each. When T=2, he earned a dividend of $50 and sold all 4 shares of this stock of $520 each. The money-weighted rate of return will be:

选项:

A.

4.2%.

B.

4.12%.

C.

4.3%.

解释:

B is correct. CF0=-500,  CF1=+5-3*510=-1525,  CF2=50+4*520=2130  Use calculator and then we can know MWRR =4.12%.

请问,65题期间return没有计入cf1,这里的红利计入cf1 ,这两者有什么区别吗?一个加一个不加

2 个答案

pzqa27 · 2022年11月28日

嗨,从没放弃的小努力你好:


这些都是CFA常用的套路,同学了解这种套路后做题就好做了

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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!

丹丹_品职答疑助手 · 2020年05月25日

嗨,努力学习的PZer你好:


同学你好,本题我们dividends是默认是现金红利的形式,我们认为他不进行再投资了。所以在现金流量图上要表示。而那道题目是持续投资,10*1.14的钱依然要进行再投资,请知悉。


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加油吧,让我们一起遇见更好的自己!


QE_erica · 2022年11月27日

z这个也太难区分了吧,谁能看得出来啊

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