Bond laddering is a strategy primarily used to manage which risk?

a.Currency risk
b.Political risk
c.Business risk
d.Interest-rate and reinvestment risk

解析

A bond ladder staggers maturities so that portions of the portfolio mature at intervals, reducing exposure to reinvesting all funds at a single rate and smoothing interest-rate risk. It provides regular liquidity and flexibility. It does not primarily address currency or political risk.

免费刷完整 100 道题库 — 无需注册。

同考点相关题目

最近核对: · 审核流程

PrepPass 编辑团队 · 依据官方资料核对 NASAA Series 66 Uniform Combined State Law Exam · 我们如何核对
反馈