【单选题】【消耗次数:1】
11.In general she is amiable, but ______she is not her own self.
in time
on time
at times
by time
参考答案:
复制
纠错
相关题目
【单选题】 Jean did not have time to go to the concert last night because she was busy __________ for her examination.
①  to prepare
②  to be prepared
③  preparing
④  being prepared
【单选题】 She likes to spend time_______in the classroom.
①  draw
②  to draw
③  drawing
【单选题】 We came finally _________ the conclusion that she has been telling lies all the time.
①  of
②  into
③  to
④  at
【单选题】 She is filled with ( )for her own college days.
①  nostalgic
②  nostalgy
③  nostalgia
④  remember
【单选题】 2. As time went on, he found himself ____ with the toughest job she had ever taken.
①  face
②  faced
③  facing
④  to face
【单选题】 Her team have helped her to get ( ) the difficult time.
①  across
②  away
③  through
④  around
【单选题】 He will surely finish the job on time _______ he is left to do it in his own way.
①  in that
②  in case
③  as far as
④  so long as
【单选题】 Ill____ him off this time but next time hell be punished.
①  leave
②  let
③  set
④  put
【单选题】 Having plenty of time, ____.
①  we needn’t to have hurried
②  there was no need for us to hurry
③  we didn’t need to hurry
④  hurrying was not necessary
【单选题】 ____ it was finished in time.?
①  As the work was difficult ?
②  Difficult as the work was?
③  Difficult as was the work ?
④  As was the work difficult?
随机题目
【多选题】 对于不可管理的风险,商业银行可以采取的管理办法是:
①  风险分散
②  风险转移
③  风险规避
④  风险补偿
【单选题】 以下哪一个模型是针对市场风险的计量模型?
①  Credit Metrics
②  KMV模型
③  高级计量法
④  VaR模型
【单选题】 Credit Metrics模型是从什么角度衡量市场风险的?
①  单一资产的角度
②  资产组合的角度
③  以上都是
④  以上都不是
【单选题】 债务人或交易对手未能履行合约所规定的义务或信用质量发生变化给债权人或金融产品持有者所带来的风险,是什么风险?
①  市场风险
②  操作风险
③  流动性风险
④  信用风险
【单选题】 CreditMonitor 模型将企业的股东权益视为:
①  企业资产价值的看涨期权
②  企业股权价值的看涨期权
③  企业资产价值的看跌期权
④  企业股权价值的看跌期权
【单选题】 对于某金融机构而言,其计算VaR值有两个投资时期可以选择,分别是1天和10天,那么下列说法正确的是:
①  1天的VaR值与10天的VaR值相等
②  1天的VaR值与10天的VaR值之间的关系不确定
③  1天的VaR值比10天的VaR值要小
④  1天的VaR值比10天的VaR值要大
【单选题】 买入1手5月份到期的执行价为1050的看跌期权,期权费为30,同时卖出1手5月份到期的执行价为1000的看跌期权,权利金为10,两个期权的标的相同。则该组合的最大盈利、最大亏损、组合类型分别为?
①  20,-30,牛市差价组合
②  20,-30,熊市差价组合
③  30,-20,牛市差价组合
④  30,-20,熊市差价组合
【单选题】 投资者买入资产并卖出看涨期权,其收益结果等同于?
①  卖出看跌期权
②  买入看涨期权
③  卖出看涨期权
④  以上都不对
【多选题】 交易者预期沪深300指数将在一个月后由2300点上涨到2400点,则他在下列到期日为一个月的欧式股指期权产品中,应该考虑进行( )交易并持有到期。
①  买入执行价为2450点的看涨期权
②  卖出股指期货
③  买入执行价为2350点的看涨期权
④  卖出执行价为2300点的看跌期权
【多选题】 从理论上看,当投资者买入跨式组合时,下列说法正确的是?
①  投资者潜在最大盈利为所支付期权费
②  投资者潜在最大损失为所支付期权费
③  投资者的最大盈利无限
④  投资者是做多波动率