NO.PZ202105270100000504
问题如下:
Based only on the emerging markets discussion, developments in which of the following areas most likely signal increasing risk for Country B’s equity market?
选项:
A.Politics B.Competitiveness C.Accounting standards解释:
A is correct.
Per capita income for Country B has been falling, which is a potential source of political stress.
B is incorrect because the persistent current account deficit has been below 2% of GDP. Persistent current account deficits greater than 4% of GDP probably indicate a lack of competitiveness.
C is incorrect because Country B has been transitioning to International Financial Reporting Standards, with full convergence expected within two years, which is a positive development for better accounting standards.
为什么对权益市场的影响是political呢