返回列表 发帖

?

TOP

a

TOP

答案和详解如下:

Q60.    A   Study Session   12-53-f

The Markowitz formula for the standard deviation of a portfolio does not require any information about the market portfolio.

TOP

a

TOP

A

TOP

b

TOP

a

TOP

1

TOP

kk

TOP

kk

TOP

返回列表