[{"data":1,"prerenderedAt":46},["ShallowReactive",2],{"q-fin_plan_tools-47-032":3},{"exam":4,"examName":5,"chapterSlug":6,"question":7,"related":22},"fin_plan_tools","理財規劃人員專業能力測驗——理財工具","c7",{"id":8,"exam":4,"session":9,"qno":10,"question":11,"options":12,"answer":17,"chapter":18,"freq":19,"explanation":20,"difficulty":21},"fin_plan_tools-47-032","47",32,"期貨交易買賣之雙方在契約到期前作反向沖銷，此動作稱為下列何者？",[13,14,15,16],"平倉","避險","套利","停損",0,"衍生性金融商品",1,"期貨交易在契約到期前，做一筆數量相同、方向相反的交易，把原有部位軋銷、了結損益的動作，稱為平倉（沖銷），故(A)正確。原本買進的作賣出、原本賣出的作買進，部位歸零後即不必進行實物交割。(B)避險是運用期貨等衍生工具鎖住現貨價格風險，目的在保護而非結清；(C)套利是同時買低賣高賺取價差，著眼於價格失衡的獲利機會；(D)停損是在虧損擴大前主動出場的風險控制策略。三者都涉及交易操作，但唯有平倉的定義精準對應「反向沖銷、結清部位」這一動作。","easy",[23,27,31,34,38,42],{"id":24,"question":25,"qno":26},"fin_plan_tools-46-007","有關「外匯市場交易工具」之敘述，下列何者錯誤？",7,{"id":28,"question":29,"qno":30},"fin_plan_tools-46-031","下列何項因素對選擇權買權之價格的影響，呈現反向關係？",31,{"id":32,"question":33,"qno":10},"fin_plan_tools-46-032","選擇權的買方：",{"id":35,"question":36,"qno":37},"fin_plan_tools-46-033","某人持有股票想獲利了結，又擔心股票會繼續上漲，則可採用下列何種策略？",33,{"id":39,"question":40,"qno":41},"fin_plan_tools-46-034","假設買入一股票買權，目前股價為 50 元，履約價格為 48 元，選擇權到期當日方可履約，假設到期股價為 45元，請問屆時買權的投資人會採取的行動及該選擇權類別為何？",34,{"id":43,"question":44,"qno":45},"fin_plan_tools-46-035","若股票選擇權買權之履約價為 35 元，選擇權價格為 5 元，當交易人買入該買權後，其損益兩平之股價應為多少元？",35,1787293950089]