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以下是引用lululi在2011-6-6 21:51:00的发言:

U.S. Area

 

Morning

1. Q1, about the 2 portfolio in Monte-Carlo, A or B?

 

Afternoon

1. Why investor has higher risk tolerance: perceivation of xxx, stage of lift, souce of income, which one?

2. accural income return rate: 6.4%, 6.8% and xxx, which one?

3. portion consumed by tax: 15%, 30% and xxx, which one..?

Morning

1. I chose B, coz at 25th percentile, it starts over 5m which is the minimum value requirement.

Afternoon

1. stage of life

2. I took a lot of time on this question, but still no clue, so pick up 6.8%, the 3rd choice is 7%.

3. no clue neither, pick up 15%, seems wrong, should be 30%...

[此贴子已经被作者于2011-6-6 23:58:52编辑过]

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