2. Compared with the mark-to-market valuations, the mark-to-model approach could _____.2.与市场估量方法相比,模式方法可以_____。
[A] slow down the worsening in credit qualtiy.[A] 减缓信用质量的恶化。
[B] nstantly crystallise all expected future loss.[B] 迅速估计出所有未来有可能的损失。
[C] worsen the credit quality.[C] 恶化信用质量。
[D] accelerate the deterioration in credit quality.[D] 加快信用质量的恶化。
[答案]A
[分析] 细节题。题干是关于mark-to-model估量方法的,这在文章第三段中有提及。关键的一句话就是,和mark-to-market方法相比,这种恶化要慢一些,因为市场方法可迅速估算出未来所有有可能的损失。要注意的是,which have the effect of instantly crystallising all expected future losses是修饰mark-to-market 方法的定语从句,这一点容易让读者混淆。
3. The reason that Marcel Rohner thought the chang of approach was distracting is _____.3.马塞尔认为这种转变是 转移注意力的 是因为_____。
[A] this change was unexpected to take place in such a situation.[A]在当时情形下出现这种转变是出人意料的。
[B] this change was result of the advice of auditors and regulators.[B] 这种转变是审计员和调解员建议的。
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