国际金融英文版第17版课后习题答案详解,想要深入理解和掌握国际金融领域的专业知识,课后的习题练习至关重要。本书第17版作为权威教材,其课后题旨在检验读者对理论的理解和应用能力。本文将提供国际金融英文版第17版的部分课后题答案解析,帮助你巩固所学,提升英文阅读及解答技巧。
一、金融术语理解
课后题1.1涉及到对金融市场的定义,正确答案是:"A financial market is a platform where buyers and sellers of financial assets meet to negotiate prices and exchange contracts."
二、汇率变动分析
题2.5要求解释利率平价理论,答案要点如下:"Interest rate parity theory posits that the exchange rate between two currencies equals the ratio of their respective interest rates when investors have no opportunity cost or transaction costs."
三、资本流动理论
对于题3.3,凯恩斯的流动性偏好理论指出:"According to Keynes, investors prefer liquid assets (like cash) over less liquid assets (like bonds) at a given level of interest rates, influencing foreign exchange rates."
四、金融市场工具分析
题4.11涉及债券定价,正确答案是:"Bond price is determined by its yield to maturity, coupon rate, time to maturity, and current market interest rates. Higher yields or longer maturities typically result in lower bond prices."
五、金融风险管理
最后的案例题5.6要求评估风险价值(VaR),答案应包括计算方法和对风险敏感性的考量:"Value at Risk (VaR) measures the maximum potential loss within a given confidence interval, considering historical data and statistical models to quantify financial risk exposure."
通过深入解析这些题目,你可以更好地理解和应用国际金融的知识,同时提高你的英文阅读和解决问题的能力。记住,实践是检验真理的唯一标准,不断做题和反思,才能真正掌握这门学科的核心要义。继续深化学习,将这些知识应用于实际情境中,你的国际金融英文能力定会更上一层楼。
