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CH2
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Which of the following is true
A. Both forward and futures contracts are
traded on exchanges.
B. Forward contracts are traded on ex-
changes, but futures contracts are not.
C. Futures contracts are traded on ex-
changes, but forward contracts are not.
D. Neither futures contracts nor forward
contracts are traded on
exchanges.
C. Futures contracts are traded on ex-
changes, but forward contracts are not.
Which of the following is NOT true
A. Futures contracts nearly always last
longer than forward contracts
B. Futures contracts are standardized;
forward contracts are not.
C. Delivery or final cash settlement usu-
ally takes place with forward
contracts; the same is not true of futures
contracts.
D. Forward contracts usually have one
specified delivery date; futures
contract often have a range of delivery
dates.
A. Futures contracts nearly always last
longer than forward contracts
In the corn futures contract a number of
different types of corn can be delivered
(with price adjustments specified by the
exchange) and there are a number of
different delivery locations. Which of the
following is true
A. This flexibility tends increase the fu-
tures price.
B. This flexibility tends decrease the fu-
tures price.
C. This flexibility may increase and may
decrease the futures price.
D. This flexibility has no effect on the
futures price
B. This flexibility tends decrease the fu-
tures price.
The party with the short position choos-
es between the alternatives. The alterna-
tives therefore make the futures contract
more attractive to the party with the short
position. The lower the futures price the
less attractive it is to the party with the
short position. The benefit of the alter-
natives available to the party with the
short position is therefore compensated
for by the futures price being lower than
it would otherwise be.
1 / 6
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A company enters into a short futures
contract to sell 50,000 units of a com-
modity for 70 cents per unit. The initial
margin is $4,000 and the maintenance
margin is $3,000. What is the futures
price per unit above which there will be a
margin call?
A. 78 cents
B. 76 cents
C. 74 cents
D. 72 cents
D. 72 cents
There will be a margin call when more
than $1000 has been lost from the mar-
gin account so that the balance in the
account is below the maintenance mar-
gin level. Because the company is short,
each one cent rise in the price leads to
a loss or 0.01×50,000 or $500. A greater
than 2 cent rise in the futures price will
therefore lead to a margin call. The fu-
ture price is currently 70 cents. When the
price rises above 72 cents there will be a
margin call.
A company enters into a long futures
contract to buy 1,000 units of a com-
modity for $60 per unit. The initial margin
is $6,000 and the maintenance margin
is $4,000. What futures price will allow
$2,000 to be withdrawn from the margin
account?
A. $58 B. $62 C. $64 D. $66
B. $62
Amounts in the margin account in excess
of the initial margin can be withdrawn.
Each $1 increase in the futures price
leads to a gain of $1000. When the fu-
tures price increases by $2 the gain will
be $2000 and this can be withdrawn. The
futures price is currently $60. The answer
is therefore $62.
One futures contract is traded where
both the long and short parties are clos-
ing out existing positions. What is the
resultant change in the open interest?
A. No change
B. Decrease by one
C. Decrease by two
D. Increase by one
B. Decrease by one
Who initiates delivery in a corn futures
contract
A. The party with the long position
B. The party with the short position
C. Either party
D. The exchange
B. The party with the short position
2 / 6
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You sell one December futures contracts
when the futures price is $1,010 per unit.
Each contract is on 100 units and the
initial margin per contract that you pro-
vide is $2,000. The maintenance margin
per contract is $1,500. During the next
day the futures price rises to $1,012 per
unit. What is the balance of your margin
account at the end of the day?
A. $1,800
B. $3,300
C. $2,200
D. $3,700
B. $3,300
The price has increased by $2. Because
you have a short position you lose 2×100
or $200. The balance in the margin ac-
count therefore goes down from $3,500
to $3,300.
A hedger takes a long position in a fu-
tures contract on a commodity on No-
vember 1, 2012 to hedge an exposure on
March 1, 2013. The initial futures price
is $60. On December 31, 2012 the fu-
tures price is $61. On March 1, 2013 it is
$64. The contract is closed out on March
1, 2013. What gain is recognized in the
accounting year January 1 to December
31, 2013? Each contract is on 1000 units
of the commodity.
A. $0
B. $1,000
C. $3,000
D. $4,000
D. $4,000
Hedge accounting is used. The whole of
the gain or loss on the futures is therefore
recognized in 2013. None is recognized
in 2012. In this case the
gain is $4 per unit or $4,000 in total.
A speculator takes a long position in a
futures contract on a commodity on No-
vember 1, 2012 to hedge an exposure on
March 1, 2013. The initial futures price
is $60. On December 31, 2012 the fu-
tures price is $61. On March 1, 2013 it is
$64. The contract is closed out on March
1, 2013. What gain is recognized in the
C. $3,000
In this case there is no hedge account-
3 / 6
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CH2
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accounting year January 1 to December
31, 2013? Each contract is on 1000 units
of the commodity.
A. $0
B. $1,000
C. $3,000
D. $4,000
ing. Gains or losses are accounted for
as they are accrued. The price per unit
increases by $3 in 2013. The total gain in
2013 is therefore $3,000.
.The frequency with which futures mar-
gin accounts are adjusted for gains and
losses is
A. Daily
B. Weekly C. Monthly
D. Quarterly
a
Margin accounts have the effect of
A. Reducing the risk of one party regret-
ting the deal and backing out
B. Ensuring funds are available to pay
traders when they make a profit
C. Reducing systemic risk due to col-
lapse of futures markets
D. All of the above
D. All of the above
Initial margin requirements dramatically
reduce the risk that a party will walk away
from a futures contract. As a result they
reduce the risk that the exchange clear-
ing house will not have enough funds
to pays profits to traders. Furthermore,
if traders are less likely to suffer losses
because of counterparty defaults there is
less systemic risk.
Which entity in the United States takes
primary responsibility for regulating fu-
tures market?
A. Federal Reserve Board
B. Commodities Futures Trading Com-
mission (CFTC)
C. Security and Exchange Commission
(SEC)
D. US Treasury
B. Commodities Futures Trading Com-
mission (CFTC)
For a futures contract trading in April
2012, the open interest for a June 2012
contract, when compared to the open in-
4 / 6
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terest for Sept 2012 contracts, is usually
A. Higher
B. Lower
C. The same
D. Equally likely to be higher or lower
A. higher
The contracts which are close to maturity
tend to have the highest open interest.
However, during the maturity month itself
the open interest declines.
Clearing houses are
A. Never used in futures markets and
sometimes used in OTC markets
B. Used in OTC markets, but not in fu-
tures markets
C. Always used in futures markets and
sometimes used in OTC
markets
D. Always used in both futures markets
and OTC markets
C. Always used in futures markets and
sometimes used in OTC
A haircut of 20% means that
A. A bond with a market value of $100 is
considered to be worth $80 when used
to satisfy a collateral request
B. A bond with a face value of $100 is
considered to be worth $80 when used
to satisfy a collateral request
C. A bond with a market value of $100 is
considered to be worth $83.3
when used to satisfy a collateral request
D. A bond with a face value of $100 is
considered to be worth $83.3
when used to satisfy a collateral request
A. A bond with a market value of $100 is
considered to be worth $80 when used
to satisfy a collateral request
A haircut is the amount the market price
of asset is reduced by for the purposes
of determining its value for collateral pur-
poses
With bilateral clearing, the number of
agreements between four dealers, who
trade with each other, is
A. 12
B. 1
C. 6
D. 2
C. 6
5 / 6
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.Which of the following best describes
central clearing parties
A. Help market participants to value de-
rivative transactions
B. Must be used for all OTC derivative
transactions
C. Are used for futures transactions
D. Perform a similar function to exchange
clearing houses
D. Perform a similar function to exchange
clearing houses
.Which of the following are cash settled
A. All futures contracts
B. All option contracts
C. Futures on commodities
D. Futures on stock indices
D. Futures on stock indices
A limit order
A. Is an order to trade up to a certain
number of futures contracts at a
certain price
B. Is an order that can be executed at a
specified price or one more
favorable to the investor
C. Is an order that must be executed
within a specified period of time
D. None of the above
B. Is an order that can be executed at a
specified price or one more
favorable to the investor
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CHM 1045
10 of 13
I Review | Constants Periodic Table
Part A
AH is an Extensive Property
button within the activity, and analyze the relationship between the two reactions that are displayed The reaction that was on
Click the
the screen when you started and its derivative demonstrate that the change in enthalpy for a reaction, AĦ¸ is an extensive property. Using this property, calculate the
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2 OWLV2 | Online teaching and lea x
A cvg.cengagenow.com/ilrn/takeAssignment/takeCXPCompliantActivity.do?locator=assignment-take
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CHAPTER 4 - STOICHIOMETRY: QUANTITATIVE INFORMATION ABOUT CHEMICAL REACTIONS
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Page 1 of 5 Next O
Submi
Barium hydride reacts with water to produce barium hydroxide and hydrogen gas.
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g H2O
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Hydrogen 1.00g/mol
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