2011年金融英语(fect)备考辅导,2011年金融英语试时间

文章作者 100test 发表时间 2011:03:18 18:29:21
来源 100Test.Com百考试题网


金融英语:模拟题汇总(2)。密切关注百考试题#0000ff>金融英语试题辅导中心,你将可以挖掘到更多实用更实惠的金融辅导资料。   34.A description of the current international monetary system is as follows:______.
  A.a free-floating system
  B.all currencies are pegged (fixed in price) to another currency or to a basket (group) of currencies
  C.some currencies are pegged and some float, but few remain fixed at the same rate for very long
  D.all currencies float within an agreed upon range of one another
  35.In a standard spot exchange transaction, a Thursday deal is settled on _____ if the day is a business day of banks.
  A.Friday
  B.Saturday
  C.the following Monday
  D.the following Tuesday
  36.Open market operations are ______.
  A.the tool used most often by the central bank
  B.seldom used by the central bank
  C.used more than the discount rate but not nearly as often as changes in reserve requirements by the central bank
  D.used by the central bank only during inflationary periods
  37.Given US interest rates at 2.00% and Japanese interest rates at 1.00% for the same period, where would the Interest Rate Parity Theory expect the USD/JPY exchange rate most likely to trend toward given a current spot exchange rate of 134.00? ______.
  A.135.00
  B.134.00
  C.132.00
  D.It cannot be determined
  38.On October 1, 2000, ABC Co.Ltd.loaned XYZ Store $300 000, receiving in exchange a nine-month, 12% note receivable.ABC ends its fiscal year on December 31, and makes adjusting entries to accrue interest earned on all notes receivable.The interest earned on the note receivable from XYZ during 2001 will amount to ______.
  A.$9000
  B.$18000
  C.$27000
  D.$36000
  39.In terms of daily volume, ______ is the largest traded financial market in the world.
  A.the stock market
  B.the mutual fund market
  C.the bond market
  D.the foreign exchange market
  40.Which of the following practices contributes to efficient cash management? ______.
  A.Never borrow money—maintain a cash balance sufficient to make all necessary payments
  B.Record all cash receipts and cash payments at the end of the month when reconciling the bank statements
  C.Prepare monthly forecasts of planned cash receipts, payments, and anticipated cash balances up to a year in advance
  D.Pay each bill as soon as the invoice arrives
  41.The danger to the exporter in open account trading is that by surrending the shipping documents to the importer, he ______ control of the goods before he has obtained payment for them.
  A.is in
  B.loses
  C.retains
  D.gives up
  42.The primary purpose of showing special types of events separately in the income statement is to ______.
  A.increase earnings per share
  B.minimize the income taxes paid on the results of ongoing operations
  C.prevent unusual losses from recurring
  D.assist users of the income statement in evaluating the profitability of normal, ongoing operations
  43.If commercial banks have ample excess reserves, a lower discount rate will _______.
  A.encourage them to borrow more
  B.encourage them to raise interest rates on loans
  C.have little impact on bank behavior
  D.increase bank reserves
  44.A bill of lading is a receipt for goods.When is a bill of lading issued? ______.
  A.When the shipper makes up the order
  B.When the carrier receives the goods
  C.When the carrier delivers the goods to the consignee
  D.When the manufacturer produces the goods
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