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DDAXC · 2020年06月21日

问一道题:NO.PZ2020042003000001

问题如下:

Which of the following statement about Liquidity risk is not correct?

选项:

A.

An asset is said to be liquid if it is “near” or a good substitute for cash.

B.

Transaction liquidity risk is the risk of moving the price of an asset adversely in the act of buying or selling it.

C.

A market is said to be liquid if market participants can put on or unwind positions.

D.

An asset is said to have a liquidity premium if its price is lower and expected return higher because it isn’t perfectly liquid.

解释:

考点:对Liquidity risk的概念理解

答案:C选项表述错误,本题选C

解析:

Liquid Market在买卖资产时,有以下限制条件:put on or unwind positions quickly, without excessive transactions costs and without excessive price deterioration.

能不能麻烦老师解释一下D 一个有流动性溢价的资产 如果他的价格很低 收益率很高 是因为他流动性不是很好 这句话该怎么理解呢?

1 个答案
已采纳答案

小刘_品职助教 · 2020年06月22日

同学你好

D选项的意思是说如果两个类似的资产,流动性不好的那个资产价格就会较低,那他的预期收益率就会较高,那这个流动性不好的资产就会被称为给予了流动性溢价的资产。

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