[商管] [財管]97中山財管 財管
好像中山99也出了一樣的
兩邊解答給不一樣
97題目為
債券的利率風險指標應為(1)maturity(2)duration(3)convexity(4)yield
答案為2.3
99題目為
which of the following should be included to measure interest rate risk
for the fixed-income security?(1)credit rating(2)maturity(3)duration
(4)convexity(5)yield
答案給2.3.4
我個人覺得答案應該為2.3而已
還是說兩題其實再講不一樣的東西
拜託幫我講解一下
謝謝
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