CFA 42: Portfolio Risk & Return I
CFA 42: Portfolio Risk & Return I
Hier vind je de beste samenvattingen om te slagen voor CFA 42: Portfolio Risk & Return I. Er zijn o.a. samenvattingen, aantekeningen en oefenvragen beschikbaar.
Alle 2 resultaten
Sorteer op:
-
Tentamen (uitwerkingen)
CFA 42: Portfolio Risk & Return I
-
---15mei 20222021/2022A+
- CFA 42: Portfolio Risk & Return I 
 
 
 
An investor purchased 100 shares of a stock for $34.50 per share at the beginning of the quarter. If the investor sold all of the shares for $30.50 per share after receiving a $51.55 dividend payment at the end of the quarter, the holding period return is closest to: 
 
−13.0%. 
 
−11.6%. 
 
−10.1%. C is correct. −10.1% is the holding period return, which is calculated as: (3,050 − 3,450 + 51.55)/3,450, which is comprised of a dividend yield of ...
-
$13.99 Meer Info
Classroom