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2008 CFA Level 1 - Sample 样题(2)-Q54

54A 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.

[此贴子已经被作者于2008-11-7 13:06:14编辑过]

 a

TOP

 tx

TOP

a

TOP

a

TOP

ok

TOP

default risk

TOP

d

TOP

xx

TOP

TOP

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