题目内容

The ______ era society or club are the records of its doings, especially as published each

A. procedures
B. processes
C. proceedings
D. projects

查看答案
更多问题

On April 20, 2000, in Accra, Ghana, the leaders of six West African countries declared their intention to proceed to monetary union among the non-CFA franc countries of the region by January 2003, as a first step toward a wider monetary union including all the ECOWAS countries in 2004. The six countries【71】themselves to reducing central bank financing of budget deficits【72】10 percent of the previous year's government【73】; reducing budget deficits to 4 percent of the second phase by 2003; creating a Convergence Council to help【74】macroeconomic policies; and【75】up a common central bank. Their declaration【76】that, "Member States【77】the need【78】strong political commitment and【79】to【80】all such national policies【81】would facilitate the regional monetary integration process.
The goal of a monetary union in ECOWAS has long been an objective of the organization, going back to its formation in 1975, and is intended to【82】a broader integration process that would include enhanced regional trade and【83】institutions. In the colonial period, currency boards linked sets of countries in the region.【84】independence,【85】, these currency boards were【86】, with the【87】of the CFA franc zone, which included the francophone countries of the region. Although there have been attempts to advance file agenda of ECOWAS monetary cooperation, political problems and other economic priorities in several of the region's countries have to【88】inhibited progress. Although some problems remain, the recent initiative has been bolstered by the election in 1999 of a democratic government and a leader who is committed to regional【89】in Nigeria, the largest economy of the region, raising hopes that the long-delayed project can be【90】.
(41)

A. committed
B. devoted
C. adjusted
D. attributed

涉及重大事件揭示时,半年度报告只需披露支付给聘任会计师事务所的报酬。()

A. 正确
B. 错误

以下关于投资组合保险策略的说法中,正确的是()A.投资组合保险策略是在将一部分资金投资于无风险以下关于投资组合保险策略的说法中,正确的是()

A. 投资组合保险策略是在将一部分资金投资于无风险资产从而保证资产组合最低价值的前提下,将其余资金投资于风险资产,并随着市场的变动调整风险资产和无风险资产的比例,同时不放弃资产升值潜力的一种动态调整策略
B. 当投资组合价值因风险资产收益率的提高而上升时,风险资产的投资比例随之下降
C. 投资组合保险的一种简化形式是固定比例投资组合保险
D. 固定比例投资组合保险的主要思想是假定投资者的风险承受能力将随着投资组合价值的提高而不变,同时假定各类资产收益率不发生大的变化

中外合资基金管理公司的境外股东其实缴资本应为不少于()亿元人民币的等值可自由兑换货币。

A. 1
B. 2
C. 3
D. 4

答案查题题库