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CFA考试(Level Ⅰ) - 相关题库
单选题 编号:2695264
1. An equity portfolio manager is evaluating her sector allocation strategy for the upcoming year. She expects global economic slowdown for the next two years. Further, she believes that companies will be facing diminishing growth rates with respect to revenues and profits. Owing to these beliefs, the portfolio manager will most likely:
  • A.Overweight materials.
  • B.Overweight consumer staples.
  • C.Underweight telecommunications.

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