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发布时间:2023-10-05 13:02:54

[单选题]The expected rate of return on a stock portfolio is a weighted average where the weights are based on the:
A. number of shares owned of each stock.
B. market price per share of each stock.
C. market value of the investment in each stock.
D. original amount invested in each stock.
E. cost per share of each stock held.
Difficulty: 1 Easy
Topic: Expected return
Learning Objective: 13-01 Show how to calculate expected returns, variance, and standard deviation.

更多"[单选题]The expected rate of return on"的相关试题:

[单选题]The expected return on a stock computed using economic probabilities is:
A. guaranteed to equal the actual average return on the stock for the next five years.
B. guaranteed to be the minimal rate of return on the stock over the next two years.
C. guaranteed to equal the actual return for the immediate twelve month period.
D. a mathematical expectation based on a weighted average and not an actual anticipated outcome.
E. the actual return you should anticipate as long as the economic forecast remains constant.
Difficulty: 1 Easy
Topic: Expected return
Learning Objective: 13-01 Show how to calculate expected returns, variance, and standard deviation.
[单选题]The expected return on a stock given various states of the economy is equal to the:
A. highest expected return given any economic state.
B. arithmetic average of the returns for each economic state.
C. summation of the individual expected rates of return.
D. weighted average of the returns for each economic state.
E. return for the economic state with the highest probability of occurrence.
Difficulty: 1 Easy
Topic: Expected return
Learning Objective: 13-01 Show how to calculate expected returns, variance, and standard deviation.
[单选题]The expected return on a portfolio considers which of the following factors?
I. Percentage of the portfolio invested in each individual security
II. Projected states of the economy
III. The performance of each security given various economic states
IV. Probability of occurrence for each state of the economy
A. I and III only
B. II and IV only
C. I, III, and IV only
D. II, III, and IV only
E. I, II, III, and IV
Difficulty: 1 Easy
Topic: Expected return
Learning Objective: 13-01 Show how to calculate expected returns, variance, and standard deviation.
[单选题]The expected return on a portfolio:
I. can never exceed the expected return of the best performing security in the portfolio.
II. must be equal to or greater than the expected return of the worst performing security in the portfolio.
III. is independent of the unsystematic risks of the individual securities held in the portfolio.
IV. is independent of the allocation of the portfolio amongst individual securities.
A. I and III only
B. II and IV only
C. I and II only
D. I, II, and III only
E. I, II, III, and IV
Difficulty: 1 Easy
Topic: Expected return
Learning Objective: 13-01 Show how to calculate expected returns, variance, and standard deviation.
[单选题]The expected risk premium on a stock is equal to the expected return on the stock minus the:
A. expected market rate of return.
B. risk-free rate.
C. inflation rate.
D. standard deviation.
E. variance.
Difficulty: 1 Easy
Topic: Risk premium
Learning Objective: 13-01 Show how to calculate expected returns, variance, and standard deviation.
[单选题]The average accounting rate of return (AAR.:
A. considers the time value of money.
B. measures net income as a percentage of the sales generated by a project.
C. is the best method of financially analyzing mutually exclusive projects.
D. is the primary methodology used in analyzing independent projects.
E. is similar to the return on assets ratio.
Difficulty: 1 Easy
Topic: Average accounting return
Learning Objective: 09-04 Explain accounting rates of return and some of the problems with them.
[单选题]The rate of return on which type of security is normally used as the risk-free rate of return?
A. Long-term Treasury bonds
B. Long-term corporate bonds
C. Treasury bills
D. Intermediate-term Treasury bonds
E. Intermediate-term corporate bonds
Difficulty: 1 Easy
Topic: Risk premium
Learning Objective: 12-03 Discuss the historical risks on various important types of investments.
[单选题] (I. In most years, the rate of return on short-term Treasury bills is below that on the 20-year Treasury bond.
(II. Interest rates on Treasury bills are more volatile than rates on long-term Treasury securities.
A. (I. is true, (II. false.
B. (I. is false, (II. true.
C. Both are true.
D. Both are false.
[单选题] (I. The coupon rate is the rate of interest that the issuer of the bond must pay.
(II. The coupon rate on old bonds fluctuates with market interest rates so they will remain attractive to investors.
A. (I. is true, (II. false.
B. (I. is false, (II. true.
C. Both are true.
D. Both are false.
[单选题] The ________ rate is the rate of interest that the issuer must pay.
A. market
B. coupon
C. discount
D. funds
[单选题]Candidates applying for this job are expected to be skilled at using a computer and good at spoken English.
A. 申请该岗位的应聘者应熟练使用计算机并有良好的英语口语能力。
B. 本项工作的申请人希望能提高使用计算机的能力和善于说英语。
C. 本工作的受聘人员在应聘前应受过使用计算机的训练并懂得英语。
D. 申请人在应聘本岗位时有可能被要求使用计算机和说良好的英语。
[单选题] Governments never issue stock because
A. they cannot sell ownership claims.
B. the Constitution expressly forbids it.
C. both A and B of the above.
D. neither A nor B of the above.
[单选题]The unemployment rate has become much lower ( ) the government took these measures.
自从政府采取措施后,失业率变的很低
A. but
B. since 自从
C. if
D. while
[单选题] The interest rate borrowers pay on their mortgages is determined by
A. current long-term market rates.
B. the term.
C. the number of discount points.
D. all of the above.
[单选题]Supernormal growth is a growth rate that:
A. is both positive and follows a year or more of negative growth.
B. exceeds a firm's previous year's rate of growth.
C. is generally constant for an infinite period of time.
D. is unsustainable over the long term.
E. applies to a single, abnormal year.
Difficulty: 1 Easy
Topic: Supernormal growth stock
Learning Objective: 08-01 Explain how stock prices depend on future dividends and dividend growth.
[单选题]Citi has struggled to keep the rate of expense growth below the rate of _____ growth.
A.consumption
B.fee
C.charge
D.revenue
[单选题] The stock market is important because
A. it is where interest rates are determined.
B. it is the most widely followed financial market in the United States.
C. it is where foreign exchange rates are determined.
D. all of the above.

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