题目
· The firm maintains a constant dividend payout ratio.
· Goodwill and patents account for a high proportion of the firm’s assets.
· The firm’s revenues and earnings are highly correlated with the business cycl
A.Furthermore, the investor focuses on the firm’s capacity to pay dividends rather than expected dividends. Considering the characteristics, the investor will most likely use which of the following valuation models?
B.Gordon dividend growth model
C.Asset-based valuation model
D.Free cash flow to equity model
第1题
A. Term repo rate
B. Call money rate
C. Broker loan rate
第2题
根据以下材料回答题
There are stock markets(股票市场)in large cities in many countries.The stock exchange is aplace where people can buy or sell shares of a factory or company.And each share means certainownership of a factory or company.
Different people go to stock markets.Some are rich, who want to get more money than theyhave.Others are not very rich, who buy stocks to try to become rich.Still others buy stocks aspart of their plan to save money.
Of course, investing(投资) money in the stock market is not the safest way to make money.
No one can tell exactly whether the shares will be doing well.The factory or company may do bad-ly.Then the stocks will go down, and the investors will lose money.The stock may go up ordown for a number of untold reasons.Everyone wants the stock to go up, but sometimes even if afactory or company does a good job, the stock may still go down.
No wonder going to the stock market is often compared to gambling(赌博).Factories andcompanies that need money are pleased that so many people are willing to "gamble".Indeed, thestock market is an attractive and complex part of the business world.
If you are a good investor, __________in the stock market. 查看材料
A.you can always make money
B.you can tell exactly when the stock goes up or down
C.you may sometimes lose money
D.your gambling is always safe
第3题
When an investment advisor attempts to determine an investor's risk tolerance,which factor would they be least likely to assess?()
A.the investor's prior investing experience
B.the investor's degree of financial security
C.the investor's tendency to make risky or conservative choices
D.the level of return the investor prefers
E.the investor's feeling about loss
第4题
第5题
The investor should be aware of the limitations of the financial statement analysis()the annual report.
A. based on
B. basing on
C. base on
第6题
The variable (A) in the utility function represents the:()
A.investor's return requirement.
B.investor's aversion to risk.
C.certainty-equivalent rate of the portfolio.
D.minimum required utility of the portfolio.
第7题
All of the following are behavioral investor types identified by Pompian EXCEPT the:
A) active accumulator.
B) guardian.
C) friendly follower.
第8题
According to the passage, underwriting simply means ______.
A.that the investor promises to buy the securities
B.that the investment banker promises to sell the securities
C.that the investment banker promises to buy the securities
D.that the investor promises to sell the securities
第10题
A. A putable bond and a floating-rate bond.
B. A mortgage-backed security and a convertible bond.
C. A zero-coupon bond and a Treasury strip.
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