绪章 Introduction:The introduction is a curriculum design for the subject of international finance, which involves two perspectives. From the perspective of macroeconomics, the subject mainly examines three aspects, including the management of balance of payments, international monetary management, and the management of internal and external balance as well. From the perspective of microeconomics, it focuses on the management of foreign exchange exposure, international investment and international financing.0.1《国际金融学(双语)》概述——课程内容设计Overview of International Finance: Curriculum Design:The introduction is a curriculum design for the subject of international finance, which involves two perspectives. From the perspective of macroeconomics, the subject mainly examines three aspects, including the management of balance of payments, international monetary management, and the management of internal and external balance as well. From the perspective of microeconomics, it focuses on the management of foreign exchange exposure, international investment and international financing.
0.1《国际金融学(双语)》概述——课程内容设计Overview of International Finance: Curriculum Design:The introduction is a curriculum design for the subject of international finance, which involves two perspectives. From the perspective of macroeconomics, the subject mainly examines three aspects, including the management of balance of payments, international monetary management, and the management of internal and external balance as well. From the perspective of microeconomics, it focuses on the management of foreign exchange exposure, international investment and international financing.
[判断题]The feasibility of the international capital budgeting decision can only be determined from the parent company viewpoint.( )


选项:[对, 错]
[判断题]

Multinational corporations can conduct financial transactions or use operational techniques to manage foreign exchange exposure.( )


选项:[对, 错]
[单选题]From the perspective of microeconomics, the practices of international finance leastly likely involves_________.


选项:[international monetary management, international financing management, foreign exchange exposure management, international investment management]
[单选题]The objective of international portfolio management is _______.


选项:[to construct an optimal international portfolio with minimum risk.

, to go ahead with a capital budgeting project with positve net present value.

, to select capital budgeting projects with higher internal rate of return than the required rate of return.

, to select international securities with the same rates of return as domestic securities.

]
[单选题]

The recent global economy is experiencing the three-low situation such as ________ .


选项:[low inflation, low government expenditure and low price

, low interest rate, low unemployment and low population

, low population, low economic growth and low tax rate

, low interest rate, low inflation and low economic growth

]
[单选题]

Which of the following managements least likely represents the dimension of macroeconomic analysis of international finance?


选项:[Foreign exchange exposure management
, Management of internal and external balance, International monetary management

, Management of balance of payments
]
[单选题]

Which of the following statements incorrectly describes China?


选项:[China is the largest goods-trade country.

, China is the largest foreign reserve holder.

, China is the largest capital-outflow country.

, China is the largest manufacturing country.

]
[单选题]Libra white paper initially introduced by Facebook on June 18th,2019 shows that Libra is most likely ______.


选项:[the legal tender
, the fictitious cryptocurrency

, the plastic money

, the paper money

]
[单选题]A nation’s macroeconomic performance involves the performance of three markets such as ________.


选项:[the domestic money market, the domestic product market, and foreign exchange market.

, the domestic goods market, domestic services market, and domestic financial market.

, the labor market, the capital market, and the land market.

, the domestic product market, domestic stock market, and foreign exchange market.

]
[单选题]Multinational corporations usually are exposed to three typical kinds of foreign exchange exposure, such as_______.


选项:[transaction exposure,speculative exposure,and precautionary exposure

, accounting exposure, investment exposure, and financing exposure

, accounting exposure,financial exposure, and economic exposure

, transaction exposure, operating exposure, and translation exposure

]
[单选题]

The recent global economy is experiencing the three-low situation such as ________ .


选项:[low inflation, low government expenditure and low price

, low interest rate, low unemployment and low population

, low population, low economic growth and low tax rate

, low interest rate, low inflation and low economic growth

]
[单选题]

Which of the following statements incorrectly describes China?


选项:[China is the largest goods-trade country.

, China is the largest foreign reserve holder.

, China is the largest manufacturing country.

, China is the largest capital-outflow country.

]
[单选题]

Which of the following managements least likely represents the dimension of macroeconomic analysis of international finance?


选项:[International monetary management

, Foreign exchange exposure management
, Management of balance of payments
, Management of internal and external balance]
[单选题]Libra white paper initially introduced by Facebook on June 18th,2019 shows that Libra is most likely ______.


选项:[the fictitious cryptocurrency

, the legal tender
, the plastic money

, the paper money

]
[单选题]A nation’s macroeconomic performance involves the performance of three markets such as ________.


选项:[the domestic product market, domestic stock market, and foreign exchange market.

, the domestic money market, the domestic product market, and foreign exchange market.

, the labor market, the capital market, and the land market.

, the domestic goods market, domestic services market, and domestic financial market.

]
[单选题]Multinational corporations usually are exposed to three typical kinds of foreign exchange exposure, such as_______.


选项:[accounting exposure,financial exposure, and economic exposure

, accounting exposure, investment exposure, and financing exposure

, transaction exposure,speculative exposure,and precautionary exposure

, transaction exposure, operating exposure, and translation exposure

]
[单选题]The objective of international portfolio management is _______.


选项:[to construct an optimal international portfolio with minimum risk.

, to select international securities with the same rates of return as domestic securities.

, to go ahead with a capital budgeting project with positve net present value.

, to select capital budgeting projects with higher internal rate of return than the required rate of return.

]
[单选题]From the perspective of microeconomics, the practices of international finance leastly likely involves_________.


选项:[foreign exchange exposure management, international financing management, international investment management, international monetary management]
[判断题]The feasibility of the international capital budgeting decision can only be determined from the parent company viewpoint.( )


选项:[对, 错]
[判断题]

Multinational corporations can conduct financial transactions or use operational techniques to manage foreign exchange exposure.( )


选项:[对, 错]

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