[{"data":1,"prerenderedAt":-1},["ShallowReactive",2],{"$f9dE5XMDFI6FitbVKC-DM01ZH1aqenCFREv2rSYr8bJM":3},{"id":4,"source":5,"question":6,"options":7,"answer":8,"related":9,"type":16,"origin":72,"createTime":18},311155412,"v1","如果一个外国货币中心的年利率比本国高4个百分点,而这种外币的远期升水率为每年1%,一个套利者做抛补套利,购买外国的国库券,他将获利多少",[],[],[10,19,25,31,37,44,50,56,60,66],{"id":11,"source":5,"question":12,"options":13,"answer":14,"related":15,"type":16,"origin":17,"createTime":18},311155405,"根据下面的即期和3个月远期汇率计算远期升贴水率: SR=2.00法国法郎\u002F欧元,FR=2.02法国法郎\u002F欧元",[],[],[],4,null,"2026-01-13T09:28:24+08:00",{"id":20,"source":5,"question":21,"options":22,"answer":23,"related":24,"type":16,"origin":17,"createTime":18},311155406,"根据下面的即期和3个月远期汇率计算远期升贴水率: SR=200日元\u002F美元,FR=190日元\u002F美元",[],[],[],{"id":26,"source":5,"question":27,"options":28,"answer":29,"related":30,"type":16,"origin":17,"createTime":18},311155407,"假设3个月期FR=2.00美元\u002F英镑,投机者相信3个月后的即期汇率将为SR=2.05美元\u002F英镑,他该如何在市场上投机?如果他预测正确,他将获利多少",[],[],[],{"id":32,"source":5,"question":33,"options":34,"answer":35,"related":36,"type":16,"origin":17,"createTime":18},311155408,"假设3个月期FR=2.00美元\u002F英镑,投机者相信3个月后的即期汇率将为SR=1.95美元\u002F英镑,他该如何在市场上投机?如果他预测正确,他将获利多少?如果到时汇率为SR=2.05美元\u002F英镑,结果将如何",[],[],[],{"id":38,"source":5,"question":39,"options":40,"answer":41,"related":42,"type":43,"origin":17,"createTime":18},311155409,"假定中国市场利率为4%,美国市场利率为8%,即期汇率为6人民币等于1美元,投资者借入1万元人民币进行无抛补套利,1年投资期结束后汇率为5.5人民币等于1美元,他将获利( )元",[],[],[],2,{"id":45,"source":5,"question":46,"options":47,"answer":48,"related":49,"type":16,"origin":17,"createTime":18},311155410,"如果一个外国货币中心的年利率比本国高4个百分点,而这种外币的远期贴水率为每年2%,一个套利者做抛补套利,购买外国的国库券,他将获利多少",[],[],[],{"id":51,"source":5,"question":52,"options":53,"answer":54,"related":55,"type":43,"origin":17,"createTime":18},311155411,"假定中国市场利率为4%,美国市场利率为8%,即期汇率为6人民币等于1美元,投资者借入1万元人民币进行无抛补套利,1年投资期结束后汇率为6.2人民币等于1美元,他将获利( )元",[],[],[],{"id":4,"source":5,"question":6,"options":57,"answer":58,"related":59,"type":16,"origin":17,"createTime":18},[],[],[],{"id":61,"source":5,"question":62,"options":63,"answer":64,"related":65,"type":16,"origin":17,"createTime":18},311155413,"如果一个外国货币中心的年利率比本国高4个百分点,而这种外币的远期贴水率为每年6%,一个套利者做抛补套利,他将获利多少",[],[],[],{"id":67,"source":5,"question":68,"options":69,"answer":70,"related":71,"type":16,"origin":17,"createTime":18},311155414,"有一张3个月期的国库券,在纽约的年利率为6%,在法兰克福的年利率为8%,欧元即期汇率为1美元=1欧元,3个月欧元远期汇率为0.99美元=1欧元,请计算套利者套利流出在法拉克福投资3个月期欧盟国库券的利润率",[],[],[],{"courseName":73,"courseImg":74,"workName":75,"workId":75,"count":76,"courseId":77},"默认课程","https:\u002F\u002Ftihai-oss-cloud.itihey.com\u002Fimg\u002F03a579384a6dc297c89809b582fcc767.png","",0,"53e1d2ef4961cca8eea3e23969ad2cb9"]