...e Planning) 《管理者的想法与双环式学习》(The Executive Mind and Double-Loop Learning) 《管理外汇风险》(Managing FX Risk) 《关于折旧的再思考》(Rethinking Depreciation) 《顾客的再发现》(Rediscovering the Customer) 《高速循环战略》(Fast-Cycle ...
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本文旨在研究我国企业如何使用金融衍生产品管理外汇风险。
This thesis aims at how enterprises use the finance derivative products to successfully manage the exchange risks.
企业为了在这个竞争时代生存,需要具有管理外汇风险的计划和良好的态度。
In order to survive in this competition age companies have to manage this foreign exchange risk in a planned and good manner.
但阿里表示,亚洲国家需要警惕更为积极的外汇储备管理所涉及到的风险。
But Mr Ali said Asian countries needed to be aware of risks involved in more aggressive reserve management.
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