返回列表 发帖

[CFA level 1模拟真题]Version 4 Questions-Q16

Q16. An analyst gathered the following information about the performance of four categories of mutual funds over the same time period:

Mutual Fund Category              Standard Deviation          Sharpe Ratio

1                              18.9%                      0.23

2                              15.4%                      17.35

3                              14.3%                      0.29

4                              12.8%                      0.27

If the returns from all funds were normally distributed, the mutual fund category that minimized the probability of earning less than the risk-free rate of return is most likely category:

A.      1

B.      2

C.      3

D.     4

 a

TOP

thanks

TOP

tx!

TOP

thanlks

TOP

b

TOP

a

TOP

thanks

TOP

see

TOP

b

TOP

返回列表