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CFA考试(Level Ⅰ) - 相关题库
单选题 编号:2695974
1. An investor fears that economic conditions will worsen and the market prices of her portfolio of investment-grade corporate bonds will decrease more than her portfolio of government bonds. The investor's fear is best described as a fear of:
  • A.Default risk.
  • B.Downgrade risk.
  • C.Credit spread risk.

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