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固定汇率(Fixed Exchange Rate)
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对话理解听力原文:W: Why should the money be deposited within such a short time?M: To avoid problems arising from fluctuations of exchange rate and to prevent possible fraud or overdrawing.Q: Why should the money be deposited within such a short time?(11)A.In order to avoid problems arising from fluctuations of exchange rate.B.In order to get more money.C.In order to use the money as soon as possible.D.In order to overdraw the money.
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听力原文:M: The depositors can earn interest on demand deposits, is that right?W: Yes, but the rate of interest on demand deposits is generally well below the bank's base rate.Q: What does the woman imply?(15)A.The bank's base rate is fixed.B.The rate on demand deposits is low.C.The rate on demand deposits is high.D.The bank's base rate is floating.
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短文理解听力原文: The Chinese currency is the Renminbi. China has maintained a unified managed floating exchange rate since January 1994. The exchange rate of the Renminbi is determined by the inter-bank foreign exchange market. The People' s Bank of China announces a reference rate for the Renminbi against the US dollar, the Hong Kong dollar, and the Japanese yen based on the weighted average price of foreign exchange transactions during the previous day's trading. Daily movement of the exchange rate of the Renminbi against the US dollar in inter-bank foreign exchange market is limited to 0.3% on either side of the reference rate as announced by the PBC. The buying and selling rates of the Renminbi against the Hong Kong dollar and the Japanese yen may not deviate more than 1% on either side of the reference rate. In the case of other currencies, the deviation may not exceed 0.5% on either side of their respective rates.21. When did China begin to maintain a unified managed floating exchange rate?22.Who determines the exchange rate of the Renminbi?23.What is the deviation allowed on daily movement of the exchange rate of Renminbi against the US dollar?(21)A.1992B.1993C.1994D.1995
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In London, a premium on a foreign exchange rate means ______.A.the foreign currency is dearerB.the foreign currency is cheaperC.the foreign currency is less valuableD.it has no relevance at all
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- ()- Today’s rate is listed on the board here.
A、What’s the exchange rate todayB、What kind of currency do you want to exchange forC、What’s the amount you’d like to exchange
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I’ll()the exchange rate and service charge and then type up the check for you.A、 make upB、 figure outC、 carry out
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The term foreign exchange is best defined by the following statement: it is ______.A.the rate of exchange between two currenciesB.synonymous with currency exchangeC.the place in which foreign currencies are exchangedD.an instrument such as paper currency, note, and check used to make payments between countries
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听力原文:A currency swap is a second technique for hedging long-term transaction exposure to exchange rate fluctuations.(10)A.A currency swap is a better way to convert the long-term transaction into a spot transaction.B.A currency swap makes long-term transaction exposure to exchange rate fluctuations.C.A currency swap is a better way to reduce the risks of the long-term transactions owing to the exchange rate fluctuations.D.A currency swap can in no way reduce the risk of exchange rate fluctuations.
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听力原文:M: CDs can be traded in the money market at any time. They are more flexible than fixed-term deposits.W: That's right. So banks usually offer slightly lower interest rates on them.Q: Which of the following has a higher rate?(13)A.CDs.B.Demand deposits.C.Fixed-term deposits.D.Building societies deposits.
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A major problem with a fixed exchange rate system is that when countries run foreign trade deficits, ______.A.there is no self-correcting mechanismB.currency values become unstableC.the value of the reserve currency declinesD.world inflation increases
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听力原文:W: What is the rate of exchange?M: Sorry, I'm not sure. You will have to ask at the exchange desk. He can give you the exchange rate.Q: Where can he find the exchange rate?(12)A.At the exchange desk.B.On the board.C.On the desk.D.On the notebook.
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Customers trading abroad in foreign currencies may protect against the exchange risk by arranging ______.A.a contract of international sale of goodsB.a contract of marine insuranceC.a forward contract to fix the exchange rate in advanceD.contract for the delivery of goods by installments
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听力原文:W: What is the rate of exchange for pound sterling into yen today?M: For cash it is seven hundred and ninety four yen to the pound and for traveler's cheques it is eight hundred and eighteen yen to the pound.Q: What's the exchange rate for cash?(12)A.880 yen.B.794 yen.C.719 yen.D.888 yen.
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The spot rate of French Francs is 9.2950-9.3055; the three-month premium is 5.50-4.70 centimes. What is the rate at which a UK bank would buy French Francs under a three-month fixed forward contract?A.FRF 9.2585B.FRF 9.2400C.FRF 9.2505D.FRF 9.2480
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The author doesn't mention those participants ______ in the London International Financial Futures Exchange( LIFFE ).A.who want to hedge against interest rate fluctuationsB.who wish to hedge against exchange rate fluctuationsC.who bet on which way interest rate will moveD.both A and B
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According to the passage, preferred stockholders are guaranteed ______.A.a voting rate per shareB.a promise to buy back the stocks made by the companyC.a withdrawal of investment principal in time of liquidationD.a fixed dividend receipt
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在考生文件夹下完成下列基本操作:(1)建立一个名称为“外汇管理”的数据库。(2)将表currency_s1.dbf 和rate_ exchange. dbf 添加到新建立的数据库中。(3)将表rate_ exchange. dbf中“买出价”字段的名称改为“现钞卖出价”。(4)通过“外币代码”字段建立表 rate_ exchange. dbf和currency_ s1.dbf之间的一对多永久联系(需要首先建立相关索引)。
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听力原文:M: The rate on a personal loan is fixed according to the base rate at the time when the loan is made.W: But it is always higher than the base rate, isn't it?Q: What is determined when a personal loan is made?(14)A.Rate on the personal loan.B.Base rate of the bank.C.The amount of payment.D.Personal loan's time period.
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The price in the foreign exchange market is called ______.A.the trade surplusB.the exchange rateC.the money priceD.the currency rate
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When a country runs a foreign trade deficit under a flexible foreign exchange rate system, its ______.A.imports automatically increaseB.currency automatically depreciatesC.exports automatically declineD.currency automatically appreciates
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In a charter-party,the amount of despatch money payable is often fixed ______.A.at one fourth the demurrage rateB.at one third the demurrage rateC.at half the demurrage rateD.at the demurrage rate
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If the exchange rate with the dollar continues to drop,__________the country's businesses will certainly lose money.A.much
B.much of
C.many
D.many of
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翻译:Under a voyage charterthe time for loading and discharge and the way of calculationthereofas well as the rate of the demurrage that would incur after the expiration of thelaytime and the rate of dispatch money to be paid as a result of the compeltion of loading ordischarge ahead of schedule,shall be fixed by the shipowner and the charterer upon mutualagreement
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单选题In a fixed displacement axial piston hydraulic motor, the speed is varied by()A
regulating the ratio between torque and speed via the torque limiter at the motorB
directing the motor output flow through a bypass lineC
maintaining a constant flow and pressure inputD
controlling the input flow rate
考题
问答题翻译:Under a voyage charterthe time for loading and discharge and the way of calculationthereofas well as the rate of the demurrage that would incur after the expiration of thelaytime and the rate of dispatch money to be paid as a result of the compeltion of loading ordischarge ahead of schedule,shall be fixed by the shipowner and the charterer upon mutualagreement
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