1。
notes book 5 page 158 在 risk tolerance 下第一点中说buy and hold strategy是 'risk tolerance increases proportionatly with wealth';
课本 volume 6 page 96 在 example 9 里说constant mix strategy才是 'risk tolerance increases proportionatly with wealth', 而buy and hold 是'more than proportionately'
2。
rebalancing strategy这块notes 写得太乱,那几个图横纵轴代表的意义好像也不对,谁给点建议这章要会些什么?
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