Products & Risks第 43 / 125 题

Reinvestment risk is most significant for an investor who:

a.Holds a zero-coupon bond to maturity
b.Owns common stock paying no dividend
c.Owns high-coupon bonds and must reinvest the periodic interest at prevailing rates
d.Holds cash in a checking account

解析

Reinvestment risk is the danger that periodic cash flows (coupons or called principal) must be reinvested at lower prevailing rates, reducing overall return. High-coupon and callable bonds are especially exposed. A zero-coupon bond held to maturity has no interim cash flows to reinvest, so it avoids this risk.

免费刷完整 125 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 FINRA Series 7 General Securities Representative Exam · 我们如何核对
反馈