[{"data":1,"prerenderedAt":47},["ShallowReactive",2],{"q-fx_remit-45-029":3},{"exam":4,"examName":5,"chapterSlug":6,"question":7,"related":22},"fx_remit","初階外匯人員專業能力測驗——國外匯兌業務","c7",{"id":8,"exam":4,"session":9,"qno":10,"question":11,"options":12,"answer":17,"chapter":18,"freq":19,"explanation":20,"difficulty":21},"fx_remit-45-029","45",29,"客戶預售遠期外匯申請展期時，其展期之適用匯率如何訂定？",[13,14,15,16],"依原訂約時之掛牌買匯匯率","依原訂約時之掛牌賣匯匯率","依原訂約之匯率","依展期當時之市場匯率",3,"其他衍生之外匯業務",1,"預售遠期外匯係客戶預先與銀行約定未來賣出外匯的匯率,如原契約到期客戶尚未能履約而申請展期,展期後的適用匯率並非沿用舊約,而是依展期當時的市場匯率重新訂定,選(D)。原因在於展期實質上是就未來新交割日重新承作一筆遠期交易,匯率須反映當下市場行情,以免客戶藉展期規避不利匯率變動、造成銀行承擔不合理風險。(A)掛牌買匯、(B)掛牌賣匯均為即期牌告,與遠期展期匯率的計算基礎不同;(C)沿用原訂約匯率更會使展期淪為變相補貼,故均非正解。此規則體現遠期外匯以市價訂約、公允承擔匯率風險的精神。","medium",[23,27,31,35,39,43],{"id":24,"question":25,"qno":26},"fx_remit-45-030","出口商為即時確定計算出口貨價之成本，及規避外匯匯率變動之風險，可到銀行辦理何種業務？",30,{"id":28,"question":29,"qno":30},"fx_remit-45-031","有關無本金交割新臺幣遠期外匯業務(NDF)，下列敘述何者錯誤？",31,{"id":32,"question":33,"qno":34},"fx_remit-45-035","大額遠期外匯日報表備註欄註明 FX SWAP 字樣，本筆交易性質係指下列何者？",35,{"id":36,"question":37,"qno":38},"fx_remit-45-042","銀行向專業機構投資人及高淨值投資法人以外之客戶，提供非屬結構型商品之衍生性金融商品交易服務，應收取保證金，該保證金不包括下列何者？",42,{"id":40,"question":41,"qno":42},"fx_remit-45-043","下列何種交易方式係以槓桿方式處理？",43,{"id":44,"question":45,"qno":46},"fx_remit-45-049","指定銀行辦理新臺幣匯率選擇權業務，承作對象為何？",49,1787293943968]