财会经济>CFA特许金融分析师 > CFA考试(Level Ⅰ) > Study Session 12 Portfolio Management
CFA考试(Level Ⅰ) - 相关题库
单选题
编号:2686151
1. According to the CAPM, what is the expected rate of return for a stock with a beta of 1.2,when the risk-free rate is 6% and the market rate of return is 12%?
A.7.2%.
B.12.0%.
C.13.2%.
登录后查看答案及解析
选择购买的题库
2025年CFA考试《Level Ⅰ》考试题库
试题数量:2861
价格:60.00/年