单选题:( )指通过投资或购买与标的资产收益波动负相关的某种资产或衍生产品,来冲销标的资产潜在风险损失的一种策略性选择。 题目分类:风险管理 题目类型:单选题 查看权限:VIP 题目内容: ( )指通过投资或购买与标的资产收益波动负相关的某种资产或衍生产品,来冲销标的资产潜在风险损失的一种策略性选择。 A.风险分散 B.风险对冲 C.风险转移 D.风险规避 参考答案: 答案解析:
Questions 3 and 4 will be based on the following news item. Questions 3 and 4 will be based on the following news item.A.It has been influen 分类:风险管理 题型:单选题 查看答案
Questionsare based on the following passage. It's nice to ha Questionsare based on the following passage. It's nice to have people of like 分类:风险管理 题型:单选题 查看答案
In what way is Carnegie-Mellon different from Stanford, Berk In what way is Carnegie-Mellon different from Stanford, Berkeley and MIT? A.Its 分类:风险管理 题型:单选题 查看答案