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      CFA金融分析師考試模擬練習(xí)題二(3)

      CFA金融分析師考試模擬練習(xí)題二(3)

      唯學(xué)網(wǎng) • 教育培訓(xùn)

      2013-10-24 16:28

      CFA

      金融分析師

      唯學(xué)網(wǎng) • 中國教育電子商務(wù)平臺

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      Answer: C

      The arithmetic average of the squared deviations around mean is the variance. The standard deviation is the positive square root of the variance and is denominated in the same units as the original data

      3. An analyst developed the following probability distribution of the rate of return for a common stock

      Scenario Probability Rate of Return

      1 0.25 0.08

      2 0.50 0.12

      3 0.25 0.16

      The standard deviation of the rate of return is closest to

      A. 0.0200

      B. 0.0267

      C. 0.0283

      D. 0.0400

      Answer:C

      Expected value=0.12

      Variance=0.0008

      Standard deviation=0.028

      4. A common stock with a coefficient of variation of 0.50 has a (n):

      A. Variance equal to half the stock’s expected return

      B. Expected return equal to half the stock’s variance

      C. Expected return equal to half the stock’s standard deviation

      D. Standard deviation equal to half the stock’s expected return

      Answer: D

      The coefficient of variation is a measure of relative dispersion that indicates how much dispersion exists relative to the mean of the distribution the coefficient of variation is the standard deviation divided by the mean

      5. If no other estimator of a given parameter has a sampling distribution with a smaller variance, the estimator used is best characterized as

      A. accurate

      B. efficient

      C. unbiased

      D. consistent

      Anewser B. An unbiased estimator is efficient if no other unbiased estimator of the same parameter has a sampling distribution with smaller variance

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