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Longman Preparation Series for the TOEIC Test: Advanced Course, 5/E W/MP3,AnswerKey

朗文新多益高級測驗題庫書+聽力MP3

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作者:Lougheed, Lin

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優惠價: 88 NT$ 766 NT$ 870

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平裝附CD-ROM,本書解答為PDF檔,附於CD-ROM光碟中。
高級:測驗目標680分以上,可有效地運用語法,滿足大部份工作上的需求。

朗文培生出版的新多益測驗考題題庫分為三個級數,除了提供了所需要的技巧與策略,在內容分配上更增加新多益的聽力與閱讀的部份。題庫的題型設計與測驗時間速度以最接近真實測驗的方式來安排,讓學生能完整的模擬測驗情境。

最新第五版包含下列特色:

1. 隨書附贈的CD-ROM,收錄書籍完整聽力MP3測驗的內容,幫助學生練習聽力,掌握自己的程度。
2. 網站上也有提供老師重點的教學大綱與教學時數建議,讓老師可以多元化備課。
3. 收錄3回合完整的模擬考題,包涵測驗題庫的題型與解答的診斷與評估。
4. 超過1,000題的練習題,呈現出各種新多益考試的型式與內容。
5. 主題章節設計,幫助學生目標設定與集中練習。
6. 內容加強應試技巧,解答提示和文法解釋,讓學生能立即從練習題獲得具體幫助。
7. 收錄新的語法與詞彙技巧。

Now in a new edition, the three-level Longman Preparation Series for the TOEIC(R) Test gives students the skills and strategies they need to increase their scores on the Listening and Reading sections of the TOEIC(R) test. Designed and paced to reflect the look and feel of the TOEIC(R) test, this series maximizes learners' familiarity and comfort with the exam. New Fifth Edition features include: * Free CD-ROM containing audio MP3 files, audio script and optional answer key to help students practice listening comprehension exercises on their own. * Notes to the teacher and syllabus with suggested teaching times promote consistency across multiple program sites.* Three complete Practice Tests include TOEIC(R) test-style answer sheets for diagnosis and assessment.* Over 1,000 practice items reflecting the format and content of the TOEIC test. * Objectives in each section help learners to focus and set goals.* Highlighted test-taking tips provide tips and grammatical explanations, plus links to specific exercises for immediate help and reinforcement.* New grammar tips and vocabulary tips.* Complete listening CD-ROM with every book.

作者簡介:

NEIL D. PEARSON, PhD, is an Associate Professor of Finance at the University of Illinois at Urbana-Champaign. His research includes work on the development, estimation, and evaluation of models for pricing and hedging various derivatives and other financial instruments. Dr. Pearson has published papers in a number of academic journals, and is an Associate Editor of both the Journal of Financial Economics and the Journal of Financial and Quantitative Analysis. He has consulted for a number of U.S. and international banks, working on term structure models, the evaluation of derivatives pricing models, and issues that arise in the computation of Value-at-Risk measures. He received his PhD from the Massachusetts Institute of Technology.

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