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最新的 Financial Risk and Regulation 2016-FRR 免費考試真題:
1. A bank considers issuing new capital to increase its Tier 1 capital levels. Which of the following financial instruments would most likely to be considered?
A) Long-term and callable debt convertible to equity
B) Short-term debt convertible to non-cumulative preferred shares
C) Short-term callable debt
D) Convertible preferred shares
2. Which of the following are the most common methods to increase liquidity in stressed conditions?
I. Selling or securitizing assets.
II. Obtaining additional credit lines.
III. Securing a better credit rating.
A) II, III
B) I
C) I, II, III
D) I, II
3. In the United States, foreign exchange derivative transactions typically occur between
A) All banks with international branches, where the risks become widely distributed based on trading exposures.
B) Thrifts and large commercial banks, where the risks become isolated.
C) A few large internationally active banks, where the risks become concentrated.
D) Regional banks with international operations, where the risks depend on the specific derivative transactions.
4. Alpha Bank determined that Delta Industrial Machinery Corporation has 2% change of default on a one-year no-payment of USD $1 million, including interest and principal repayment. The bank charges 3% interest rate spread to firms in the machinery industry, and the risk-free interest rate is 6%. Alpha Bank receives both interest and principal payments once at the end the year. Delta can only default at the end of the year. If Delta defaults, the bank expects to lose 50% of its promised payment. Six months after Alpha Bank provides USD
$1 million loan to the Delta Industrial Machinery Corporation, a new competitor enters the machinery industry, causing Delta to adjust its prices and mark down the value of its inventory. Hence, the probability of default increases from 2% to 10% and the loss given default increases from 50% to 75%. If Alpha Bank can reprice the loan, what should the new rate be?
A) 13%
B) 16.5%
C) 10%
D) 20.5%
5. James Johnson purchased a plain vanilla bond that has modified duration of 10 and convexity of 0.5. If yields increase by 1%, its modified duration is expected to
A) increase by 1.5.
B) increase by 0.5.
C) decrease by 0.5.
D) decrease by 1.5.
問題與答案:
問題 #1 答案: D | 問題 #2 答案: D | 問題 #3 答案: C | 問題 #4 答案: D | 問題 #5 答案: C |
122.100.216.* -
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