The price in the foreign exchange market is called ______.A.the trade surplusB.the exchange rateC.the money priceD.the currency rate

题目

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

如果没有搜索结果或未解决您的问题,请直接 联系老师 获取答案。
相似问题和答案

第1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2题:

- Can I exchange foreign currency in Bank of China -()

A、No, you can’t. Bank of China is not responsible for exchanging foreign currency.

B、Yes, you can. Bank of China is an authorized foreign exchange bank.

C、No, you can’t. Bank of China is not open on Sundays.


参考答案:B

第3题:

对话理解

听力原文:M: Can I open a foreign currency account and convert my money into a currency which offers the highest interest?

W: Yes, we can arrange that for you, but foreign currency exchange rates are subject to fluctuation and sometimes you will suffer losses.

Q: What does the woman mean?

(11)

A.Interest rate of a foreign currency is much higher.

B.There are risks of losing money sometimes to open a foreign currency account.

C.Foreign currencies exchange rates are relatively stable.

D.It is advisable to open a foreign currency account.


正确答案:B
解析:男士是想开一个外汇账户,但女士提醒男士说外汇汇率会有波动,所以有时会 "suffer losses"。

第4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5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6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7题:

听力原文:The bank's foreign exchange department has to keep constant track of the positions in the various currencies.

(7)

A.The bank's foreign exchange department has to record the positions in the various currencies.

B.The hank's foreign exchange department has to record the positions in the various currencies.

C.The bank's foreign branches department has to record the various foreign currency liabilities.

D.The bank's foreign branches department has to record the positions in the various currencies.


正确答案:A
解析:单句意思为“银行外汇部必须随时监测各种货币的头寸”。

第8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9题:

_______________ is when a country or company exports a product at a price that is lower in the foreign importing market than the price in the exporter's domestic market.

A、trade barrier

B、dumping

C、tariff

D、open border


参考答案:C

第10题:

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.


正确答案:C
解析:单句意思为“外汇浮动对远期交易有一定影响外汇互换可以降低这一风险。”

更多相关问题