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QUOTE:
以下是引用xiaoming_bo在2010-6-7 2:04:00的发言:

我记得这个题目是说流动性好,又要求turnover低的。why选breadth & investability

breadth and investability

 

刚刚写错了,是在equity port mgmt (I)后面那章intl equity bench里面

 

breadth v investability --> some intl indeses including emerging mkt index include stock that has illiquid and closely held small stocks nad investor should choose the index with less breadth and greater liquidity

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QUOTE:
以下是引用prso在2010-6-7 2:09:00的发言:

breadth and investability

 

刚刚写错了,是在equity port mgmt (I)后面那章intl equity bench里面

 

breadth v investability --> some intl indeses including emerging mkt index include stock that has illiquid and closely held small stocks nad investor should choose the index with less breadth and greater liquidity

我觉得大概的意思就是选指数不要选什么ABC 5000之类的,因为选太多了很可能就有illiquid stock作为成分股进入指数了,所以要在breadth和investablity之间trade off

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以下是引用swinerton在2010-6-7 2:12:00的发言:
看来还是要熟读马列书啊 notes和secret sauce在三级的用处真的是不大。

猜的~~ 到了考场上,我也显然不可能背得出来

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以下是引用hulalal在2010-6-7 12:53:00的发言:

题目说的是net of fee after trading expenses and management costs before carried intrests.

 

before carried intrests 显然不对。

我记起来了,有这道题!我选的和你一样!

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以下是引用swinerton在2010-6-7 12:53:00的发言:

CFAI很阴险啊。我的考卷里根本没见过这个mortality这个单词。看来卷子不同的地方差异不是一点点

这张试卷号是8080,AM session的,北美应该不一样

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QUOTE:
以下是引用auar在2010-6-7 17:51:00的发言:

1、第三道关于tax的大题,harvest loss在哪种情况下适用?

  volatility,  FIFO?  ,passive management?

 

原题中,不是FIFO, 原题是LIFO, 与书上的HIFO是相反的

我选了Lifo

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以下是引用lavender1985在2010-6-7 17:53:00的发言:

还有一个题目,是说portfolio和benchmark的,要用什么来match,不记得了,选项是key rate duration,modified duration,还有credit spread duration,记得题目中说credit spread 不变

 

还有一个题目,有三个选项,debt那题,是reduce the ability of bargainning effeciency in the work process 还是cash flow as perks,还是和股东的利益

key rate D

利益

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QUOTE:
以下是引用tommyyxh在2010-6-7 18:12:00的发言:

忘了哪个选项了, 好像是buy put option吧~~ 具体既不的了,不过肯定不是forward

 

我选option,没理由,直觉,

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QUOTE:
以下是引用hitman1986在2010-6-8 12:48:00的发言:

high water mark

clawback

 

说如果performance没到hurdle rate要收钱回来~~

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QUOTE:
以下是引用mumue在2010-6-8 13:41:00的发言:

VC Fund 的流动性好吗?
不好

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