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[CFA level 1模拟真题]Version 4 Questions-Q54

Q54. A portfolio of option-free bonds is least likely to be exposed to:

A.      volatility risk

B.      Yield curve risk

C.      Interest rate risk

D.     Reinvestment risk

 a

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thanks

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D

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a

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A

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a

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[em02]

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thanks

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非常謝謝你!!

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