[{"data":1,"prerenderedAt":45},["ShallowReactive",2],{"q-trust_prac-61-014":3},{"exam":4,"examName":5,"chapterSlug":6,"question":7,"related":21},"trust_prac","信託業業務人員信託業務專業測驗——信託實務","c1",{"id":8,"exam":4,"session":9,"qno":10,"question":11,"options":12,"answer":17,"chapter":18,"freq":17,"explanation":19,"difficulty":20},"trust_prac-61-014","61",14,"有關特定金錢信託投資境外結構型商品應揭露之「基本風險」，下列何者錯誤？",[13,14,15,16],"信用風險","本金轉換風險","最低收益風險","委託人兼受益人提前贖回風險",1,"金錢信託","特定金錢信託投資境外結構型商品時，應向委託人揭露該商品固有的基本風險，一般包括(A)信用風險(發行或保證機構違約無法履約)、(C)最低收益風險(實際收益可能低於預期甚至為零)、(D)委託人兼受益人提前贖回風險(中途贖回可能折價或有費用損失)，另尚有匯兌、流動性、利率、事件等風險。至於(B)本金轉換風險並非此類商品法定應揭露的基本風險項目名稱，故為錯誤選項，即本題答案。實務上風險揭露旨在使投資人充分理解商品特性，題目將非屬基本風險的名目列入，即屬敘述錯誤。","hard",[22,25,29,33,37,41],{"id":23,"question":24,"qno":17},"trust_prac-60-001","依「信託業從事廣告、業務招攬及營業促銷活動應遵循事項」規定，信託業辦理共同信託基金業務，以基金績效作為廣告者，同一基金績效達多久以上者始能刊登，成立滿幾年者，應以最近三年全部績效為圖表或曲線表示？",{"id":26,"question":27,"qno":28},"trust_prac-60-002","銀行辦理特定金錢信託投資國外有價證券業務係屬信託業法所定之何種業務？",2,{"id":30,"question":31,"qno":32},"trust_prac-60-003","委託人在銀行以特定金錢信託投資共同基金時，一般除負擔申購手續費外，尚須負擔下列何種費用？",3,{"id":34,"question":35,"qno":36},"trust_prac-60-004","張三至銀行辦理特定金錢信託投資境外基金業務，則該特定之投資標的係由下列何者指示？",4,{"id":38,"question":39,"qno":40},"trust_prac-60-005","有關銀行辦理特定金錢信託投資國外有價證券業務，下列敘述何者錯誤？",5,{"id":42,"question":43,"qno":44},"trust_prac-60-006","委託人以特定金錢信託方式投資國外有價證券，因相關法令修正致投資標的不符規定時，下列敘述何者錯誤？",6,1787293930885]