[{"data":1,"prerenderedAt":47},["ShallowReactive",2],{"q-fin_plan_prac-48-044":3},{"exam":4,"examName":5,"chapterSlug":6,"question":7,"related":22},"fin_plan_prac","理財規劃人員專業能力測驗——理財規劃實務","c10",{"id":8,"exam":4,"session":9,"qno":10,"question":11,"options":12,"answer":17,"chapter":18,"freq":19,"explanation":20,"difficulty":21},"fin_plan_prac-48-044","48",44,"當景氣向上機率為 40%時，基金 A 預期報酬率 30%；景氣持平機率為 30%時，基金 A 預期報酬率為 10%；景氣向下機率為 30%時，基金 A 預期報酬率為-20%。則基金 A 的標準差為何？",[13,14,15,16],"0%","16.21%","20.70%","24.28%",2,"投資規劃",1,"期望報酬=0.4×30%+0.3×10%+0.3×(−20%)=9%;變異數=0.4×(30−9)²+0.3×(10−9)²+0.3×(−20−9)²=176.4+0.3+252.3=429,標準差=√429≈20.70%,故選20.70%。","hard",[23,27,31,35,39,43],{"id":24,"question":25,"qno":26},"fin_plan_prac-46-018","風險衡量的基準統計量，下列敘述何者錯誤？",18,{"id":28,"question":29,"qno":30},"fin_plan_prac-46-019","假設目前存款 20 萬元，每年投資 12 萬元，5 年後欲有 100 萬元創業基金，則應選擇何種投資工具？",19,{"id":32,"question":33,"qno":34},"fin_plan_prac-46-040","基本面明顯轉差或技術面呈空頭排列的個股或基金，此時應考慮的重點為下列何者？",40,{"id":36,"question":37,"qno":38},"fin_plan_prac-46-041","有關投資組合的向日葵原則敘述，下列何者錯誤？",41,{"id":40,"question":41,"qno":42},"fin_plan_prac-46-042","有關定時定額選擇投資標的之敘述，下列何者正確？",42,{"id":44,"question":45,"qno":46},"fin_plan_prac-46-043","當股價向上翻揚並獲致相當的漲幅時，下列投資策略之相對表現優劣順序將為何？ A.固定投資比率策略B.投資組合保險策略 C.買入持有策略",43,1783434648399]