[{"data":1,"prerenderedAt":29},["ShallowReactive",2],{"chapter-sec_sr_invest-c12":3},{"examName":4,"chapter":5,"questions":10},"證券商高級業務員資格測驗——證券投資與財務分析(試卷「投資學」)",{"name":6,"sort":7,"count":8,"slug":9},"投資績效評估與資產配置",12,4,"c12",[11,16,20,25],{"id":12,"qno":13,"question":14,"session":15},"sec_sr_invest-114-3-048",48,"有關經理人選股能力的敘述，何者正確？","114-3",{"id":17,"qno":18,"question":19,"session":15},"sec_sr_invest-114-3-049",49,"在投資組合績效評估中，崔納（Treynor）指標的計算方式為：",{"id":21,"qno":22,"question":23,"session":24},"sec_sr_invest-115-1-029",29,"有一投資組合過去 10 年的平均年報酬率為 12%，標準差為 50%，無風險利率為 4%，貝他係數為1.2，請試算其夏普指數為多少？","115-1",{"id":26,"qno":27,"question":28,"session":24},"sec_sr_invest-115-1-047",47,"當投資者判斷市場處於空頭行情時，以下哪項策略不適合？",1783661228972]