某2500万美元的l年期借款承诺由6个月期的欧洲货币期货合约来保值,合约的名义本金为250万美元。那么此项贷款承诺的套保比率为()。
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某商业银行资产总额为400亿元,风险加资产总额为100亿元,资产风险暴露为250亿元,预期损失为8亿元,则该商业银行的预期损失率为()。
The main ______ advantage of the firm is the relatively low cost of the labour force both
A. sophisticated
B. considerate
C. competitive
D. superficial
The government ________between the workers and employers in order to put an end to strikes
A. mediated
B. maneuvered
C. refereed
D. judged
关于采用信用衍生工具缓释信用风险需满足的要求,下列说法错误的是()。