问题如下:
Which of the following is a characteristic of the KMV model?
I. Each obligor has its own sensitivity to each of the common risk factors.
II. It includes an estimate of correlation between firm values based on the correlation between observed equity values.
选项: I only.
II only.
C.Both I and II.
D.Neither I nor II.
解释:
B Statement I is only true for Credit Risk+. Statement II is a characteristic and major advantage of the KMV model.
请问KMV哪一个特点说的是资产和负债的相关系数