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徐威廉 · 2024年10月07日

repayment of bank borowing到底是什么东西?

NO.PZ2022071101000014

问题如下:

A treasurer at a regional bank is assessing the bank’s liquidity position. The treasurer estimates that the following cash inflows and outflows will occur in the next week:

Which of the following is the correct amount (in millions of USD), at the week’s end, for the bank’s net liquidity position?

选项:

A.

USD -200

B.

USD -80

C.

USD -40

D.

USD 80

解释:

中文解析:

C是正确的。-50+80+120-100+80-70-40-60= -40

C is correct. -50+80+120-100+80-70-40-60= -40

A is incorrect. Flips the sign for borrowings from money market.

B is incorrect. Flips the sign for scheduled loan repayments and acceptable loan requests.

D is incorrect. Flips the sign for repayment of bank borrowings.

这为什么是流动性的减项?

1 个答案
已采纳答案

pzqa39 · 2024年10月08日

嗨,爱思考的PZer你好:


其实这道题就是计算现金流的流入-流出
repayment of bank borrowings是指归还银行的借款,所以是流出项


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