[{"data":1,"prerenderedAt":31},["ShallowReactive",2],{"q-sec_invest-115-1-007":3},{"exam":4,"examName":5,"chapterSlug":6,"question":7,"related":22},"sec_invest","證券商業務員資格測驗——證券投資與財務分析","c5",{"id":8,"exam":4,"session":9,"qno":10,"question":11,"options":12,"answer":17,"chapter":18,"freq":19,"explanation":20,"difficulty":21},"sec_invest-115-1-007","115-1",7,"衡量風險時，需考慮到多方面的風險來源，如石油危機、美中貿易戰即屬於：",[13,14,15,16],"企業風險","財務風險","市場風險","流動性風險",2,"風險與報酬",1,"石油危機、美中貿易戰等總體事件影響整體市場、無法靠分散投資消除，屬系統性的市場風險，選(C)。企業風險(A)、財務風險(B)、流動性風險(D)屬個別非系統風險。","easy",[23,27],{"id":24,"question":25,"qno":26},"sec_invest-114-3-015","當公司舉債過多時，公司營運會面臨較大的風險，以致投資報酬產生不確定性，此類風險稱之為：",15,{"id":28,"question":29,"qno":30},"sec_invest-114-3-017","在債券到期前，公司無法按時償還約定本息的風險，導致投資者的報酬發生變動的風險，稱之為：",17,1783498253853]