[{"data":1,"prerenderedAt":46},["ShallowReactive",2],{"q-sec_invest-115-2-010":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-115-2-010","115-2",10,"市場風險是指：",[13,14,15,16],"系統、可分散風險","非系統、可分散風險","系統、不可分散風險","非系統、不可分散風險",2,"風險與報酬",1,"市場風險就是系統風險，來自景氣循環、利率、匯率、政治情勢等總體因素，會同時影響市場上所有證券。既然大家一起漲跌，再怎麼增加持股檔數也無法互相抵銷，因此屬於不可分散風險，故選 (C)。(A) 錯在把系統風險說成可分散；(B) 把市場風險誤歸為非系統風險，非系統風險指的是個別公司的專屬事件；(D) 非系統風險依定義本來就分散得掉，說成不可分散自相矛盾。只有 (C) 兩個屬性都正確。","easy",[23,27,31,35,38,42],{"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,{"id":32,"question":33,"qno":34},"sec_invest-115-1-007","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：",7,{"id":36,"question":37,"qno":17},"sec_invest-115-2-002","當買入證券後，未能公平且迅速賣出該證券，此風險稱為：",{"id":39,"question":40,"qno":41},"sec_invest-115-2-009","下列何者屬於非系統風險？",9,{"id":43,"question":44,"qno":45},"sec_invest-115-2-024","下列關於非系統風險之描述何者「正確」？",24,1785904142048]