...风险主要有: 换算风险 交易风险 经营风险 外汇风险可以采用以下方法进行规避: 市场保值(Forward Market Hedging) 调整货币资产负债 提前或延迟收付法 分散风险法 存货避险法 思考题 1、什么是国际财务管控的整体框架?
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但是对于动荡的市场来说,你们的基金不就是为了保值吗?
But isn't the whole point of your fund to be a hedge against market turmoil?
金融市场面临的影响将会是最大的,尤其是对于不通过交易所而直接售给顾客的金融衍生品、流水套期保值和私募股权基金。
The most dramatic effects will probably be felt on capital-markets activities, especially in over-the-counter derivatives and in running hedge and private equity funds.
由于针对喷气燃料的远期期货市场流动性不佳,绝大多数的套期保值交易都是以西德克·萨斯轻质原油期货合约为交易标的的。
Long-dated futures markets for jet fuel are highly illiquid. Much of the hedging is carried out with WTI contracts but the actual fuel is mainly refined from pricier oils.
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