• 2022-05-31 问题

    Regular repetition and parallelism are examples showing how to achieve certain stylistic effect by taking the ( ) method. A: qualitative deviation or incongruity B: quantitative deviation or incongruity C: quantitative deviation or deflection D: qualitative deviation or deflection

    Regular repetition and parallelism are examples showing how to achieve certain stylistic effect by taking the ( ) method. A: qualitative deviation or incongruity B: quantitative deviation or incongruity C: quantitative deviation or deflection D: qualitative deviation or deflection

  • 2022-06-19 问题

    Relative to the underlying stock, a call option always has A: a higher beta and a higher standard deviation of return. B: a lower beta and a higher standard deviation of return. C: a higher beta and a lower standard deviation of return. D: a lower beta and a lower standard deviation of return.

    Relative to the underlying stock, a call option always has A: a higher beta and a higher standard deviation of return. B: a lower beta and a higher standard deviation of return. C: a higher beta and a lower standard deviation of return. D: a lower beta and a lower standard deviation of return.

  • 2022-06-03 问题

    1802e165fa6fc66.pngThen the deviation ratio is

    1802e165fa6fc66.pngThen the deviation ratio is

  • 2022-06-05 问题

    1803a28eb384082.pngThen the deviation ratio is

    1803a28eb384082.pngThen the deviation ratio is

  • 2021-04-14 问题

    8. Deviation changes with a change in ______.

    8. Deviation changes with a change in ______.

  • 2021-04-14 问题

    148. Deviation changes with a change in ______.

    148. Deviation changes with a change in ______.

  • 2021-04-14 问题

    9. Which of the following is not a kind of deviation?

    9. Which of the following is not a kind of deviation?

  • 2021-04-14 问题

    If your portfolio standard deviation is 14% and risky asset standard deviation is 28%, what is the weight of risky asset in your portfolio? (Hint: Remember the y!)

    If your portfolio standard deviation is 14% and risky asset standard deviation is 28%, what is the weight of risky asset in your portfolio? (Hint: Remember the y!)

  • 2022-05-28 问题

    When measuring the dispersion of the sample mean, the statistics to be used are ( ) . A: Coefficient of variation B: The standard deviation C: Standard deviation of the mean D: Range value

    When measuring the dispersion of the sample mean, the statistics to be used are ( ) . A: Coefficient of variation B: The standard deviation C: Standard deviation of the mean D: Range value

  • 2022-06-12 问题

    Dimensional deviation is the difference of a certain size minus its basic size, so the size deviation can be positive, negative and zero. ( ) A: 对 B: 错

    Dimensional deviation is the difference of a certain size minus its basic size, so the size deviation can be positive, negative and zero. ( ) A: 对 B: 错

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