[{"data":1,"prerenderedAt":46},["ShallowReactive",2],{"q-fin_plan_tools-48-024":3},{"exam":4,"examName":5,"chapterSlug":6,"question":7,"related":22},"fin_plan_tools","理財規劃人員專業能力測驗——理財工具","c5",{"id":8,"exam":4,"session":9,"qno":10,"question":11,"options":12,"answer":17,"chapter":18,"freq":19,"explanation":20,"difficulty":21},"fin_plan_tools-48-024","48",24,"假設丙公司普通股的β係數(beta)為 1.3，若無風險利率為 7%，且市場風險溢酬為 10%，則其期望報酬率為多少？",[13,14,15,16],"10.9%","16%","20%","28%",2,"股票投資",1,"用資本資產定價模型，期望報酬等於無風險利率加上β乘市場風險溢酬，即百分之七加一點三乘百分之十等於百分之二十。選項一只取溢酬部分，其餘則是誤乘或亂加，計算不對。","medium",[23,27,31,35,39,42],{"id":24,"question":25,"qno":26},"fin_plan_tools-46-020","台灣股票交易中，下列何者為一般交易與盤後定價交易之最大差別？",20,{"id":28,"question":29,"qno":30},"fin_plan_tools-46-021","下列何項非屬財務比率分析？",21,{"id":32,"question":33,"qno":34},"fin_plan_tools-46-022","假設其他因素固定不變，下列那一項會降低股票之本益比？",22,{"id":36,"question":37,"qno":38},"fin_plan_tools-46-023","有關股票評價之高登模式(Gordon)，下列何者正確？",23,{"id":40,"question":41,"qno":10},"fin_plan_tools-46-024","B 公司今年度每股現金股利 5 元，且股利成長率為 4%，乙股東要求之股票報酬率為 12%，預期每股盈餘 2.5元，依現金股利折現模式計算，其本益比應為何？",{"id":43,"question":44,"qno":45},"fin_plan_tools-46-025","依 CAPM 方法，假設某股票之β(Beta)係數為 2，股市的預期報酬率為 15%，無風險利率為 5%，則該股票報酬率為下列何者？",25,1783434646775]