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最新的 Canadian Securities Course CSC1 免費考試真題 (Q51-Q56):
問題 #51
Which derivatives transactionhas the greatest default risk?
- A. Interest rate forward agreement between an investment dealer and a corporation.
- B. Exchange-traded equity option contract between an individual investor and a dealer.
- C. Individual investor buying shares on an exchange during the ex-rights period.
- D. Individual investor entering future contract with an institutional investor.
答案:A
解題說明:
Aninterest rate forward agreement (FRA)is anover-the-counter (OTC)derivative contract. Unlike exchange- traded derivatives, OTC contracts are not centrally cleared, meaning there is no intermediary to guarantee performance. This increases counterparty (default) risk, making FRAs inherently riskier than exchange-traded contracts.
* A. Individual investor buying shares on an exchange during the ex-rights period: This is a standard transaction involving equity securities, not derivatives, and carries no default risk.
* C. Exchange-traded equity option contract between an individual investor and a dealer: Exchange- traded derivatives are backed by a clearinghouse, which mitigates default risk.
* D. Individual investor entering a futures contract with an institutional investor: Futures contracts are also exchange-traded and centrally cleared, reducing default risk.
問題 #52
Which activity performed bythe Bank of Canada reflects role as the fiscal agent for the federal government?
- A. Designing and distributing bank notes.
- B. Preserving the value of the Canadian dollar by keeping inflation low
- C. Working with domestic and international regulatory bodies
- D. Providing advice on debt Issuances based on its assessment of the capital markets.
答案:D
解題說明:
As the fiscal agent for the federal government, the Bank of Canada provides advice on debt management and issuance strategies, including assessments of capital markets. This role involves managing federal government debt and ensuring efficient market functioning.
References:
* Volume 1, Chapter 5:Economic Policyunder "The Role of the Bank of Canada" details the Bank's fiscal agent role in managing government debt (CSC Volume 1, Chapter 5).
問題 #53
What obligation dues an IA have when communicating informationabout a preliminary prospectus to prospectiveinvestors?
- A. The IA must provide a greensheet
- B. The IA must ensure 3 proxy is mailed to the investors to vote for approval or disapproval of the offering.
- C. The IA must make a tombstone advertisement.
- D. The IA mum record the names addresses of those who have requested and received a preliminary prospectus
答案:D
解題說明:
Investment advisors (IAs) are required to record the names and addresses of all individuals who have requested and received a preliminary prospectus. This ensures compliance with securities regulations and provides a record for follow-ups and potential disclosures related to the offering.
* A. The IA must ensure a proxy is mailed: Proxy voting is related to shareholder meetings, not the prospectus distribution.
* B. The IA must provide a greensheet: A greensheet is used internally by investment firms, not distributed to clients.
* C. The IA must make a tombstone advertisement: Tombstone advertisements are created by the issuer, not the IA.
問題 #54
Which regulatory body is responsible for thesurveillanceof trading and market-related activities of participants on Canadian equity marketplaces?
- A. OSFI
- B. CSA
- C. OBSI
- D. CIRO
答案:D
解題說明:
TheCanadian Investment Regulatory Organization (CIRO)is responsible for overseeing trading and market-related activities of participants on Canadian equity marketplaces. CIRO conducts surveillance to ensure compliance with rules, regulations, and fair market practices.
Other options:
* OBSI (Ombudsman for Banking Services and Investments): Handles disputes between financial institutions and their clients but does not conduct trading surveillance.
* OSFI (Office of the Superintendent of Financial Institutions): Regulates and supervises federally regulated financial institutions, focusing on their solvency.
* CSA (Canadian Securities Administrators): Coordinates securities regulation across Canada but does not directly monitor trading activities.
References:
* Volume 1, Chapter 3:The Canadian Regulatory Environment, section on "Market Surveillance and Trading Oversight" explains CIRO's role.
問題 #55
An investor sold short 1,500 MNO common shares at $12.75 pershare. What is the outcome if the investorcovers the short position at $10.15 per share?
- A. A profit of $3,900
- B. A loss of $2,382
- C. A profit of $2,382
- D. A loss of $3,000
答案:A
解題說明:
Profit from a short sale is calculated as the difference between the selling price and the covering price, multiplied by the number of shares:
Profit=(12.75#10.15)×1,500=2.60×1,500=3,900 ext{Profit} = (12.75 - 10.15) imes 1,500 = 2.60 imes
1,500 = 3,900Profit=(12.75#10.15)×1,500=2.60×1,500=3,900
References:Volume 1, Chapter 9 ("Short Selling").
問題 #56
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