下列关于财务指标的各种表述中正确的是( )多项选择题

A

A. 在市价确定的情况下,每股收益越高,市盈率越高,投资风险越小

B

B. 市净率越高可能意味着企业未来的盈利前景越好,也可能意味着股票价格被高估

C

C. 留存收益率的高低反映了企业的理财方针

D

D. 提高留存收益率必然降低股利支付率

E

E. 只有股票持有人认为股价将降低时,他们才会接受较低的股票获利率

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类似问题

For stock A, we have 𝛽 𝑖 = 0.70. Suppose the expected market risk premium next year is 9% and the risk-free rate is 3%. What is the expected return of this stock based on the CAPM? (Please answer in % and round to 2 decimal places. If the answer is 8.057%, then in the box, write 8.06)

Suppose a multifactor model has three factor risk premia: market = 6%, profitability = 3%, and investment = 2%. A stock has: 𝛽 𝑚 𝑎 𝑟 𝑘 𝑒 𝑡 = 1.1,                   𝛽 𝑝 𝑟 𝑜 𝑓 𝑖 𝑡 𝑎 𝑏 𝑖 𝑙 𝑖 𝑡 𝑦 = 0.5,                       𝛽 𝑖 𝑛 𝑣 𝑒 𝑠 𝑡 𝑚 𝑒 𝑛 𝑡  = -0.2, And the risk-free rate is 3%. What is the expected return? (Please answer in % and round to 2 decimal places. If the answer is 8.057%, then in the box, write 8.06)

 Suppose that the covariance between a stock and the market portfolio is 0.06 and that the standard deviation of the market portfolio is 0.30. Suppose also that the standard deviation of the stock’s returns is 0.55. Based on the CAPM, what is β of this stock? (Please answer as a number and round to 2 decimal places. If the answer is 0.768, then in the box, write 0.77)

 Suppose that the CAPM holds and that Stock A, the market portfolio, and the risk-free asset have the following characteristics. Asset Expected return Standard deviation Stock A 15% 40% Market portfolio 11% 25% Risk-free asset 3% 0% What is the β of Stock A? (Please answer as a number and round to 2 decimal places. If the answer is 0.768, then in the box, write 0.77)

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