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Foreign exchange markets are electronic communication systems that (56) major financial centers throughout the world. Exchange rates are determined (57) supply and demand relationships, relative interest rate levels, relative (58) of inflation, political

题目

Foreign exchange markets are electronic communication systems that (56) major financial centers throughout the world. Exchange rates are determined (57) supply and demand relationships, relative interest rate levels, relative (58) of inflation, political risk, and economic risk. Alternatives (59) affecting settlement of purchase and sales claims were explored (60) with the instruments available to exporters and importers for financing their international activities.

(41)

A.focus

B.liaison

C.connect

D.associate


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更多“Foreign exchange markets are electronic communication systems that (56) major financial centers throughout the world. Exchange rates are determined (57) supply and demand relationships, relative interest rate levels, relative (58) of inflation, political ”相关问题
  • 第1题:

    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.1992

    B.1993

    C.1994

    D.1995


    正确答案:C
    解析:录音原文提到China has maintained a unified managed floating exchange rate since January 1994,中国从1994年1月开始实行单一的有管理的浮动汇率制。

  • 第2题:

    In order to (56) foreign exchange administration, maintain strong balance of payments position, China (57) the Regulations on Foreign Exchange Administration on January 29,1996. The State Administration of Foreign Exchange is the agency responsible for foreign exchange administration. The SAFE has a similar branch structure with that of the People's Bank of China, China's central bank. The Bank of China (58) the principal foreign exchange bank. Other banks and financial institutions, (59) affiliates of non-resident banks, (60) designed transactions with the approval of the SAFE.

    (41)

    A.develop

    B.improve

    C.change

    D.conduct


    正确答案:B
    解析:improve改善,改进。improve foreign exchange administration完善外汇管理。develop发展,发扬,进步。change改变,变革。conduct引导,管理。

  • 第3题:

    The term foreign exchange is best defined by the following statement: it is ______.

    A.the rate of exchange between two currencies

    B.synonymous with currency exchange

    C.the place in which foreign currencies are exchanged

    D.an instrument such as paper currency, note, and check used to make payments between countries


    正确答案:D
    解析:外汇通常指以外国货币表示的可用于国际结算的各种支付手段,包括纸币、支票、票据等。the rate of exchange between two currencies两国货币的汇率。synonymous with currency exchange与货币兑换率含义相同。

  • 第4题:

    A major problem with a fixed exchange rate system is that when countries run foreign trade deficits, ______.

    A.there is no self-correcting mechanism

    B.currency values become unstable

    C.the value of the reserve currency declines

    D.world inflation increases


    正确答案:A
    解析:句意:固定汇率制一个重大弊病在于一国对外贸易出现赤字时,不能自我调节。fixed exchange rate system固定汇率制。

  • 第5题:

    Customers trading abroad in foreign currencies may protect against the exchange risk by arranging ______.

    A.a contract of international sale of goods

    B.a contract of marine insurance

    C.a forward contract to fix the exchange rate in advance

    D.contract for the delivery of goods by installments


    正确答案:C
    解析:远期合约可使进出口贸易商避免汇率风险(exchange risk)。in foreign currencies用外汇(币)计价。marine insurance海运保险。forward contract远期合约。in advance预先。

  • 第6题:

    单句理解

    听力原文:Interest rate risk refers to the exposure of a bank's financial condition to adverse movements in interest rates.

    (1)

    A.Bank's financial condition is the cause of interest rate risk.

    B.Bank's financial condition has impact on interest rate risk.

    C.Interest rate risk occurs when interest rate moves against the bank's financial condition.

    D.Interest rate risk occurs when interest rate favours the bank's financial condition.


    正确答案:C
    解析:单句意思为“利率风险是指银行在不利的利率变动中暴露出的财务风险”。A项因果关 系颠倒,B项没有提及,D项“favour”一词与原句“adverse”相矛盾。

  • 第7题:

    The author doesn't mention those participants ______ in the London International Financial Futures Exchange( LIFFE ).

    A.who want to hedge against interest rate fluctuations

    B.who wish to hedge against exchange rate fluctuations

    C.who bet on which way interest rate will move

    D.both A and B


    正确答案:C
    解析:第二段第一句…brings together those buyers and sellers who wish to hedge against interest rate and exchange rate fluctuations,作者提到了A、B选项中的参与者。

  • 第8题:

    The price in the foreign exchange market is called ______.

    A.the trade surplus

    B.the exchange rate

    C.the money price

    D.the currency rate


    正确答案:B
    解析:汇率又译为“汇价”,“外汇行市”,一般用于外汇市场两种不同货币之间的比价。trade surplus贸易顺差,C、D说法很少见。

  • 第9题:

    The bank (56) borrowers enough interest to pay the expense of the bank and have something left over for (57) . The interest cannot be higher than the legal rate, which is established by state law and in most states is 6% per year. (58) big loans, the interest rate is much less, even as low as 2%. The rate depends on the money market, when there is plenty of money (59) to be borrowed, banks charge low rates of interest. A savings bank may pay its depositors 2% and lend the money at 3.5% or 4%. But when money is tight, interest rates go up, and a savings bank may try to (60) depositors by offering 4% or 4.5% or even more and lending the money at 5% or 6%.

    (41)

    A.receives

    B.gets

    C.charges

    D.pays


    正确答案:C
    解析:句意:银行向贷款人索取足够的利息以支付银行日常开销,并保证部分盈余。这里表示索取费用的词是charge。receive收到。pay支付,交纳。

  • 第10题:

    Since June last year the yuan has appreciated 7% against the dollar.The rise in China's relative costs has been even greater given its higher inflation rate.With stimulative fiscal and monetary policy bolstering domestic demand.China's current-account su


    答案:
    解析:
    从2013年六月开始,人民币对美元已升值7%,考虑到其更高的通货膨胀率,中国的相关成本上的幅度更大。在财政政策、货币政策剌激国内需求的情况下,2007年经常账户余额从 10%的GDP中缩水了2/3,同时,中国的贸易赤字在减小,制造业就业人数停止下降。所有这些都意味着,即使有的话.人民币相对于过去几年的低估程度大大降低了。许多政策制定者和学者认为对外直接投资对国家的经济增长有积极作用.除了其所提供的资本,对外直接投资也是在与当地公司联系过程中的价值技术和专门技能的重要来源,这能帮助促进经济增长。基于这些讨论

  • 第11题:

    Beads, stones, seashells, paper, precious metals such as gold and silver, base metals such as iron have all been used as money. Today, money is printed on paper. A lot of countries use their own currency, with n ames such as dollar, pound, franc, ruble, yuan and so on. Since 2002, 18 of the EU members have replaced their national currencies by Euro notes and coins. If you want to pay for something in another currency, you have to change your money into the other money. If you want to travel outside your native country, you need to change your own country's money for the money of the country you are visiting. Most large banks sell foreign currencies. You can exchange money at a bank or at an office of a tourist agency Wherever you go, exchanging money puts you in touch with international finance, which is concerned with exchange rates between different currencies. Deciding the rate for the international exchange of money is one of the most complex aspects of international banking. Foreign exchange rates have significant impact on the economy of a country.


    正确答案:正确

  • 第12题:

    单选题
    A cargo hold has been determined to have a relative humidity of 80% and a dry bulb temperature of 80 ℃ and a dry bulb temperature of 85℃.When the hold is sealed and the dry bulb temperature decreases, the relative humidity in the space will ()
    A

    decrease

    B

    increase

    C

    decrease to zero

    D

    remain unchanged


    正确答案: B
    解析: 暂无解析

  • 第13题:

    In London, a premium on a foreign exchange rate means ______.

    A.the foreign currency is dearer

    B.the foreign currency is cheaper

    C.the foreign currency is less valuable

    D.it has no relevance at all


    正确答案:A
    解析:外汇升水(premium)意味着外汇更贵,外币升值。discount贴水。foreign exchange rate汇率。foreign currency外币。

  • 第14题:

    - ()- Today’s rate is listed on the board here.

    A、What’s the exchange rate today

    B、What kind of currency do you want to exchange for

    C、What’s the amount you’d like to exchange


    参考答案:A

  • 第15题:

    听力原文:Banks make money in the foreign exchange dealings not on profit margin but on volume.

    (8)

    A.Banks make money in foreign exchange business because of profit margin.

    B.Banks make money from the price spread in the foreign exchange market.

    C.Banks make money in foreign exchange business on profit as well as on volume.

    D.Banks make money in foreign exchange business because of the great volume.


    正确答案:D
    解析:单句意思为“银行在外汇交易中挣钱不是来自于边际利润而是来自于交易量。”

  • 第16题:

    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.


    正确答案:A
    解析:当女士问到汇率是多少时,男士的回答是"You will have to ask at the exchange desk",由此可知选项A正确。

  • 第17题:

    In the foreign exchange market, which is made up of banks' traders and brokers, prices (61) every minute (62) to supply and demand. For safety's sake, a branch will get a rate from their traders for a big transaction. Therefore the traders give their branches lists of exchange rates (63) they may buy and sell notes and payments in the main currencies.

    Whenever a bank in Britain makes a payment in foreign currency, or makes a payment in sterling to a non-resident, the payment has first to (64) under British exchange control regulations. The bank itself can usually authorize the payment after seeing a document such as an invoice to show that the payment is due; but cases (65) borrowing and lending have to be referred to the Bank of England.

    (46)

    A.alter

    B.vary

    C.turn

    D.convert


    正确答案:B
    解析:vary变化,改变,不及物动词。alter改变,常作及物动词。convert使转变,转换。

  • 第18题:

    听力原文:Typical foreign exchange transactions involve trades of one currency for another in the spot or cash market, or forward transactions.

    (3)

    A.Forward transactions is not of typical foreign exchange transactions.

    B.Typical foreign exchange transactions occur in the spot or cash market.

    C.Forward transactions don't occur in the spot or cash market.

    D.Typical foreign exchange transactions occur only in the spot market.


    正确答案:B
    解析:单句意思为“典型的外汇交易包括在即期或现货市场以一国货币换取另一国货币,或远 期交易”。

  • 第19题:

    听力原文:The foreign exchange market operates much like other financial markets, but isn't located in a specific place like a stock exchange.

    (9)

    A.The foreign exchange market operates like other financial markets in every respect.

    B.The foreign exchange market has a specific place like a stock exchange.

    C.There's no physical market place such as stock exchanges for the foreign exchange transactions.

    D.The foreign exchange market operates quite differently since the former has no physical market place.


    正确答案:C
    解析:单句意思为“外汇市场和其他金融市场运行很相似,但是和股票市场不同的是,它没有特定的交易场所。”

  • 第20题:

    When a country runs a foreign trade deficit under a flexible foreign exchange rate system, its ______.

    A.imports automatically increase

    B.currency automatically depreciates

    C.exports automatically decline

    D.currency automatically appreciates


    正确答案:B
    解析:句意:在浮动汇率制度下,一国对外贸易处于逆差状态时,其货币会自动贬值。A、C、D选项都不符合。

  • 第21题:

    The reason that foreign exchange markets exist is because people have a strong desire to get foreign currencies to travel round the world, to buy goods produced in other countries.

    A.Right

    B.Wrong

    C.Doesn't say


    正确答案:C
    解析:第二句末尾部分the desire to exchange it into something closer to home in terms of acceptability , 并没有提及题中的to travel round the world, to buy goods produced in other countries.

  • 第22题:

    资料:Large industrialized are now in a recession. What are the prospects for economic recovery?
    The three most important industrial economies in the world are, at the moment, facing enormous problems. Germany is struggling with the cost of reunification and is in recession. Japan is also experiencing recession and the United States has a large budget deficit.
    Forecasters and analysts face questions about the prospects of an economic recovery. Here are some of their findings:
    The election of a new president of the United States gave hope to the rest of the world. If the US recovered, the rest of the world would face a more promising future. However, analysts now accept that the US will only recover very slowly.
    Consumer and investor confidence is still lacking. Large deficits and declining short-term interest rates mean there is little scope for economic stimulus.
    The Japanese economy, after years of trade and budget surpluses, is in deep recession and the growth rate has slowed down considerably. German economists have lowered their forecasts for economic growth this year. The lowering of German interest rates may bring some relief to other members of the European Exchange Rate Mechanism (ERM). However, Germany's importance as Europe's largest export market may decline.
    However, in some parts of the world, there are more positive signs, particularly in some Latin American countries in South-East Asia. Analysts says that, as long as the rate of interest stays above the rate of growth at national income, then the ratio of debt to income will get worse. Falling interest rates help towards overcoming this problem. They believe it may take several years before there is real recovery. However, advances in technology are offering hope for the world economy.

    It could be implied that rising of the interest rate ______.

    A.can help towards overcoming this problem about the ratio of debt to income
    B.may lead Germany's importance as Europe’s largest export market to decline
    C.may bring some relief to other members of the European Exchange Rate Mechanism
    D.None of above

    答案:D
    解析:
    本题考查的是推理判断。
    【关键词】can be implied;the rising of the interest rate
    【主题句】
    第6自然段The lowering of German interest rates may bring some relief to other members of the European Exchange Rate Mechanism (ERM). However, Germany’s importance as Europe’s largest export market may decline. 德国利率降低会给其他欧洲汇率机制成员国带来一些安慰,然而,德国作为欧洲最大的出口市场,其重要性会有所下降。
    第7自然段Analysts says that, as long as the rate of interest stays above the rate of growth at national income, then the ratio of debt to income will get worse. Falling interest rates help towards overcoming this problem. 分析师说,只要利率保持在国民收入增长率之上,债务收入比就会变糟。利率减少才会帮助克服这一问题。
    【解析】本题意为“根据推断,利率上涨会____?”
    选项A意为“能帮助解决债务收入比问题”;选项B意为“可能导致作为欧洲最大出口市场的德国重要性下降”;选项C意为“可能会给其他欧洲汇率机制成员国带来一些安慰”;选项D意为“以上皆不”,根据主题句,利率下降才能出现选项A、B、C情况,因此选项D符合题意。

  • 第23题:

    Foreign Exchange


    正确答案:外汇或国际汇兑,指以外国货币表示的用于国际间结算的支付凭证和信用凭证。