The interest rate management system adopted by various countries can be broadly divided into the following types()
A. Centralized national management
B. Free market decisions
C. The combination of A and B
D. Local management
E. The combination of B and D
F. The combination of A and D
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In general, the repayment period and liquidity of a financial instrument show(), and the yield shows()
A. Negative correlation, positive correlation
B. Negative correlation, negative correlation
C. Positive correlation, positive correlation
D. Positive correlation, negative correlation
If commercial banks raise interest rates on loans, then it will help to()
A. Suppress corporate demand for credit funds
B. Reduce individual consumer credit
C. Motivate to curb the expansion of the money supply
D. Expand the money supply
E. Stimulate economic growth
F. Stimulate price increases
Which is wrong with the following descriptions of the capital asset pricing model()
A. Beta measures the full risk of a single security, including systematic and non-systematic risk
B. The expected rate of return on a single security consists of two parts, risk-free interest rate and risk premium
C. The size of the risk premium depends on the size of the beta value
D. The higher the beta, the higher the risk of a single security, and the higher the risk compensation
Interest rates will change in different economic periods, and the usual situations are()
A. During the crisis, interest rates will gradually increase
B. During the depression period, interest rates will tend to fall
C. During the recovery phase, interest rates will tend to rise
During the boom period, interest rates tend to rise
E. During the recovery phase, interest rates will tend to fall
F. During the crisis, interest rates tend to fall