题目内容

A two-tailed test of the null hypothesis that the mean of a distribution is equal to 4.00 has a p-value of 0.0567. Using a 5% level of significance (i.e., α = 0.05), the best conclusion is to:

A. Reject the null hypothesis.
B. Fail to reject the null hypothesis.
C. Increase the level of significance to 5.67%.

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Wouter Duyck, CFA, is the sole proprietor of an investment advisory firm serving several hundred middle-class retail clients. Duyck claims to be different from his competitors because he conducts rese

A. Diligence and Reasonable Basis
B. Fair Dealing
C. Misrepresentation

When computing the weighted average cost of capital (WACC) and assuming a fixed-rate non- callable bond is currently selling above par value, the before-tax cost of debt is closest to the:

A. Coupon rate
B. Current yield.
C. Yield to maturity.

Which of the following is most likely a limitation of the yield-to-maturity measure?

A. It does not reflect the timing of the cash flows.
B. It assumes coupon payments can be invested at the yield to maturity.
C. It does not consider the capital gain or loss the investor will realize by holding the bond to maturity.

Which of the following multiples is most useful when comparing companies with significant differences in capital structure?

A. EV/EBITDA
B. Price-to-book ratio
C. Price-to-cash flow ratio

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