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[北京] 对外经贸大学2003年金融学专业考研试题

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发表于 2007-11-20 15:48 | 显示全部楼层 |阅读模式
对外经贸大学2003年金融学专业考研试题
对外经济贸易大学
2003年攻读硕士学位研究生入学考试
(金融学院)金融学:专业基础课 (试题代码:471)
所有答题(包括英语的判断题和选择题)均做在答卷纸上,并在每题前标明各级题号。答在本试卷上无效。
一.        True—False Questions(1X15=15points.please write T for true statements or F for false statements following every question number on your answer sheet)
1.        International investment position is a concept of stocks.
2.        Asian currency market doesn’t  belong to European currency market.
3.        Tariff is on expenditure shifting policies ,but monetary policy is just one of expenditure switching policies.
4.        Yankee bond is a kind of Eurobonds.
5.        Foreign exchange control is mainly aimed at residents.
6.        The theoretical foundation of commodity arbitrage is the Law of One Price,so is that of interest arbitrage.
7.        The meaning of foreign exchange at premium or discount in direct quotation system is just the opposite of that in indirect quotation system.
8.        Monetary approach to exchange rate determination is actually another version of Purchasing Power Parity Theory.
9.        Interest Parity Theory is about determination of short-run exchange rate.
10.        Buying in the international gold market will increase international reserves.
11.        Free floating of exchange rate leads to a huge drain on foreign exchange reserves.
12.        Devaluating native currency may improve on trade account balance.
13.        In buyer’s credit ,payment at sight is required.
14.        Bretton Woods System can be regards as an exchange rate system of gold exchage standard.
15.        Reverse position in IMF is included in general drawing rights.
二.Single or Multiple –Choice Questions (2x10=20points.In each question, at least one answer is true .If your choices are right but fewer than the standard ,you will still get fewer points .Please wirte the letters of your choice following every question number on your answer sheet.)
1.        Meade’s conflict will take place in the conditions of
A . unemployment and deficit in the balance of payment
B.unemployment and surplus in the balance of payment
c.inflation and deficit in the balance of payment
D.inflation and surplus in the balance of payment
2.        which of the following organization are included in the world bank group?
A.        International Bank for Reconstruction and Development
B.        International Development Association
C.        International Finance Company
D.        Bank for International Settlement
3.        Assume that annual interest rate of Great British pound is 21%and that of US dollar is 9%,then according to Interest Parity Theory Great British pound relative to US dollar in 3months forward exchange market will be devaluated by
A,30% B,12%,C,10%,D,7.5%,E,4%,F,3%
4.        Bretton woods system is the result of
A,White Plan B,Kenes Plan,C,Brady Plan D,Marshall Plan
5.        Currencies determing value of SDRs after 1999 include
A,Swiss Franc  B,United State Dollar C,French Franc D,Deutsche Mark E.Italian Lira
F.Great British Pound G.Japanese Yen H.Euro
6.        According to balance of Payment Theory of Exchange Rate ,which of the following factors will lead to devalution of native currency?
A.domestic interest rate level up     B.foreign GNP increased
C.native GNP increased           D.domestic level up
7.        Eurodollar means
A.US dollar in Europe      B.US dollar outside USA
C.a general term of US dollars in the whole world D.US dollar reserve
8.        In general ,a letter of credit is
A.        irrevocable  B.confirmed C.unconfirmed D.transferable E.nontransferable
9.        In Absorption Approach to the balance of payment ,the direct influence of devaluation on absorption includes
A.        cash balances effect B.terms-of-trade effect
B.        income redistribution effect D.monetary illusion effect
E.idle resources effect
10.        When economy is in conditions of inflation and deficit in the balance of payments,which of policy mixes should be practiced by Mundell Assignment Rule?
A.        decreasing fiscal expenditure and raising interest rate
B.        increasing fiscal expenditure and reducing interest rate
C.        increasing fiscal expenditure and raising interest rate
D.        decreasing fiscal expenditure and reducing interest rate

三.简答题每题4分,共36分)
1.        什么是边际效用递减定律?
2.        纯交换条件下帕累托最优配置的主要条件是什么?
3.        菲利普斯曲线是什么?
4.        欧元对传统货币制度观念的挑战体现在哪方面?
5.        商业信用具有哪些局限性?
6.        什么是货币需求分析研究微观角度和宏观角度?
7.        货币供给的内生性或外生性命题的含义是什么?
8.        什么是“成本推进型”通货膨胀?
9.        什么是货币政策的内部时滞?
四.简述题(每题10分,共30分)
1.        简述凯恩斯的货币需求函数。
2.        简述政府的财政政策原理。
3.        分析发展中国家金融自由化的主要内容。
五.案例分析题(满分14分)
有人主张对原油征收附加税,并认为原油价格上升不会引起汽油价格上升。他们的推理是:真实汽油价格上升,但价格上升引起汽油的需求减少,这就会使汽油价格下降到原来的水平。这种推理对吗?为什么?
注意:以下请考生按所报的货币经济学、金融经济学或金融组织学三个专业之一答题。
六.简述题(考生按所报专业方向答其中二题,每小题10分,满分20分)
1.(货币经济学方向答)分析功能性金融监管的内容及优点。
2.(货币经济学方向答)根据《中华人民共和国中国人民银行法》的有关内容,简要分析我国中央银行的独立性。
3.(金融经济学方向答)简述国库券的市场特性和收益率的计算方法。
4.(金融经济学方向答)投资者购入一投资组合,当时市场无风险利率是6%,预期市场收益率是16%,假设所购投资组合预期的永久现金流为1000美元,但因有风险而不确定。如果投资者认为该组合的贝塔值0.5,但实际上该组合与市场组合的协方差加倍时,投资者愿意支付的金额与该组合的实际价格间有什么样的差距?(提示:用资产定价模型计算和分析)
5.(金融组织学方向答)分析杠铃结构投资法及优缺点。
6.(金融组织学方向答)简述融资缺口模型及其运用。
七.论述题(考生按所报专业方向答其中一题,满分15分)
1.(货币经济学方向答)以中央银行宏观经济分析的货币账户的构成分析:(1)不同层次货币供给的生成机制和相互关系;(2)货币账户同其它宏观经济账户的关系。
2.(金融经济学方向答)结合我国实际,分析间接金融和直接金融之间运行机制和功能的差异。
3.(金融组织学方向答)试述现代商业银行的发展趋势。

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参与人数 1金币 +2 收起 理由
wangming11 + 2 非常感谢您对论坛的支持!

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发表于 2007-11-20 17:34 | 显示全部楼层
好资料   谢谢分享                   辛苦了
发表于 2009-12-13 22:09 | 显示全部楼层
考贸大的学弟学妹,可以去这里看看,有高分考取贸大金融学的经验分享,以及相关信息和资料,相信对你考研有帮助,呵呵
http://dwjmjrx.blog.163.com/blog ... 9111334216108/edit/
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