[{"data":1,"prerenderedAt":46},["ShallowReactive",2],{"q-deriv_prac-20-053":3},{"exam":4,"examName":5,"chapterSlug":6,"question":7,"related":21},"deriv_prac","衍生性金融商品銷售人員資格測驗——衍生性金融商品概論與實務","c1",{"id":8,"exam":4,"session":9,"qno":10,"question":11,"options":12,"answer":17,"chapter":18,"freq":17,"explanation":19,"difficulty":20},"deriv_prac-20-053","20",53,"結算前風險係屬於何種風險？",[13,14,15,16],"市場風險","信用風險","流動性風險","作業風險",1,"衍生性商品概論","結算前風險指契約成立後、到期結算前，交易對手因倒閉或違約無法履約，銀行必須到市場上重新承作一筆相同條件契約，因而產生重置成本，本質是對手不履約造成的損失，歸屬信用風險，故選 (B)。與它成對的是結算風險，發生在交割當下、一方已付款而另一方未付，同樣列在信用風險項下。(A) 市場風險是價格、利率、匯率波動造成部位價值變動。(C) 流動性風險是部位無法及時平倉或資金調度不及。(D) 作業風險來自人員疏失、系統故障與流程缺陷，與對手信用無關。","easy",[22,26,30,34,38,42],{"id":23,"question":24,"qno":25},"deriv_prac-18-017","δ(Delta)變動所引發選擇權價值變動的風險，係指下列何者？",17,{"id":27,"question":28,"qno":29},"deriv_prac-18-018","結算前風險可以區分為現有違約風險及潛在違約風險，關於違約風險，下列敘述何者錯誤？",18,{"id":31,"question":32,"qno":33},"deriv_prac-18-022","臺灣市場上所稱之「連動債」或「結構債」，其本質係屬於下列何者？",22,{"id":35,"question":36,"qno":37},"deriv_prac-18-024","台灣的某家進口廠商預期在 3 個月後須支付一筆歐元 100,000，在無做任何避險交易下，廠商所擔心的是，屆時台幣將會作何變化？",24,{"id":39,"question":40,"qno":41},"deriv_prac-18-025","「利率上限」(interest rate cap)簡稱為 Cap，以下敘述何者為正確？",25,{"id":43,"question":44,"qno":45},"deriv_prac-18-026","證券商與銀行可以利用「資產交換」的方式，將可轉換公司債分解成哪兩大部分？",26,1785157763735]