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【单选题】
Part Ⅱ Reading Comprehension (Skimming and Scanning) Directions: In this part, you will have 15 minutes to go over the passage quickly and answer the questions on Answer Sheet 1. For questions 1-7, choose the best answer from the four choices marked A), B), C) and D). For questions 8-10, complete the sentences with the information given in the passage. Don't Destroy the Essential Catalyst of Risk Since the spring, and most acutely this autumn, a global contagion (传染)of fear and panic has choked off the arteries of finance, compounding a broader deterioration in the global economy. Financial institutions have an obligation to the broader financial system. We depend on a healthy, well-functioning system but we failed to raise enough questions about whether some of the trends and practices that had become commonplace really served the public's long-term interests. Seven important lessons As policymakers and regulators begin to consider the regulatory actions to be taken to address the fallings, I believe it is useful to reflect on some of the lessons from tiffs crisis. The first is that risk management should not be entirely predicated on historical data. In the past several months, we have heard the phrase' multiple standard deviation events' more than a few times. If events that were calculated to occur once in 20 years in fact occurred much more regularly, it does not take a mathematician to figure out that risk management assumptions did not reflect the distribution of the actual outcomes. Our industry must do more to enhance and improve scenario analysis and stress testing. Second, too many financial institutions and investors simply outsourced their risk management. Rather than undertake their own analysis, they relied on the rating agencies to do the essential work of risk analysis for them. This was true at the inception(初期)and over the period of the investment, during which time they did not consider other indicators of financial deterioration. This over-dependence on credit ratings coincided with the dilution of the desired triple A-rating. In January 2008, there were 12 triple A-rated companies in the world. At the same time, there were 64, 000 structured finance instruments, such as collateralized debt obligations, rated triple A. It is easy and appropriate to blame the rating agencies for lapses in their credit judgments. But the blame for the result is not theirs 'alone. Every financial institution that participated in the process has to accept its share of the responsibility. Third, size matters. For example, whether you owned $5 billion or $50 billion of (supposedly) low-risk super senior debt in a CDO, the likelihood of losses was, proportionally, the same. But the consequences of a miscalculation were obviously much bigger if you had a $50 billion exposure. Fourth, many risk models incorrectly assumed that positions could be fully hedged. After the collapse of Long-Term Capital Management mid the crisis in emerging markets in 1998, new products such as various basket indices and credit default swaps were created to help offset a number of risks. However, we did not, as an industry, consider carefully enough the possibility that liquidity would dry up, making it difficult to apply effective hedges. Fifth, risk models failed to capture the risk inherent in off-balance sheet activities, such as structured investment vehicles. It seems clear now that managers of companies with large off-balance sheet exposure did not appreciate the full magnitude of the economic risks they were exposed to equally worrying, their counterparties were unaware of the full extent of these vehicles and, therefore, could not accurately assess the risk of doing business. Sixth, complexity go
A.
Commercial banks.
B.
Financial institutions.
C.
The ministry of finance.
D.
The Wall Street.
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参考答案:
举一反三
【多选题】下列关于平行结转分步法的说法中,不正确的有( )。
A.
当企业经常对外销售半成品时,可以采用平行结转分步法
B.
成本计算对象是各种产成品及其经过的各生产步骤中的成本份额
C.
不能为各个生产步骤在产品的实物和资金管理提供资料
D.
每一生产步骤的生产费用要在各步骤的完工产品与在产品之间分配
【单选题】B 企业 20X7 年 12 月 31 日结账后的“库存现金”科目余额是 1 万元,“银行存款”科目余额是 400 万元,“其他货币资金”科目余额是 100 万元,则 20X7 年 12 月 31 日 B 企业资产负债表的“货币资金”项目为( )
A.
401 万
B.
501万
C.
100万
D.
101万
【单选题】在下列各项控制指标中,反映控制系统快速性的是( )。
A.
静态偏差
B.
衰减率
C.
动态偏差
D.
过渡过程时间
【判断题】在因果链的各个层级均符合“不重复,不遗漏”的原则,这个说法对吗?()
A.
正确
B.
错误
【单选题】实验课前应该做的事,下列说法错误的是( )
A.
认真预习实验内容
B.
准备好实验服
C.
熟悉每个实验步骤中的安全操作规定和注意事项
D.
不用准备,等上实验课时临时应付
【单选题】NO.4
A.
1/6
B.
1/7
C.
2/5
D.
1/5
【多选题】涂膜的附着力好坏取决于
A.
涂料对基材表面的润湿性
B.
涂料的极性基团
C.
涂料中颜料的颜色
D.
基材处理的质量
E.
基材的处理方法
【判断题】我国矿产资源丰富,而且都是富矿多,贫矿少。
A.
正确
B.
错误
【简答题】No.4
【单选题】在特定DNA区段上串联排列的rRNA基因,称为( )。
A.
异染色质
B.
着丝粒
C.
端粒
D.
核仁组织者区
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