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agreed...I think i was thinking from cost perspective...that it wll be costly to deliver but didnt notice tht...it will actually reduce the repo rate. thanks guys ...u make things look easier
btw, just curious...did anyone gt this Q right on the mock...seems so easy but its one deceptive Q
43. Based on the information in Exhibit 1, a portfolio with a 70% allocation to the current portfolio
and a 30% allocation to the U.S. stock index will have standard deviation of returns that is
closest to:
A. 12.4%.
B. 13.1%.
C. 14.4% |
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