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demon0312 · 2021年05月14日

No.PZ2019122802000038

NO.PZ2019122802000038

问题如下:

The NAV of a PE fund was $120m at the end of 2019. All capital has been called. The PE fund expects a 20% distribution to be paid at the end of 2020. The expected growth rate of NAV before distribution is 10%. What is the expected NAV after distribution at year-end 2020?

选项:

A.

96.8m

B.

105.6m

C.

112.4m

解释:

B is correct.

The expected NAV before distribution at the end of 2020 is 120*(1+10%)=132m

The expected distribution in year of 2020 is 132m*20%=26.4m

The expected NAV after distribution at the end of 2020 is 132m-26.4m=105.6m

这题到底在考察什么,感觉就是个算术题。

1 个答案

伯恩_品职助教 · 2021年05月14日

嗨,努力学习的PZer你好:


同学你好,确实考察的像算术题。是这个考点

----------------------------------------------
虽然现在很辛苦,但努力过的感觉真的很好,加油!

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