Therefore, for China, at first, the most important thing is to pay attention to maintaining the basic balance in macro economy, fending off various risks and hedging those capitals due to hedge.
因此,对中国来说,首先,最重要的是在宏观经济上注意保持基本平衡,注意防范各类风险,该对冲的要对冲掉。
The term “hedge” (from hedging your bets) derives from the aim of making money whether a market goes up or down.
“对冲”(来自为你的赌注两面都下注)这个术语取自不论市场风向如何都能获利这个目标。
Luis Stuhlberger of Credit Suisse Hedging-Griffo, Brazil’s largest hedge fund, says it is like being “an elephant in a bathroom.
巴西最大的对冲基金Credit Suisse Hedging-Griffo的Luis Stuhlberger称,它就像是“浴室里的一头大象。
Hedging through bond insurers, whose finances grew shaky as the crisis spread, was calculated twice: once assuming the hedge would hold, and again assuming it was worthless.
跟那些在经济危机扩散之时财务状况会变得岌岌可危的债券保险公司做对冲避险生意时,摩根大通都会做两次计算分析:第一次假设避险成功的情形,再一次则假设所购对冲工具变的一文不值的情形。
Data from Hedge Fund Research, a consultancy, show that in the second quarter, a share-hedging strategy involving both long and short sales was the most popular in America and Britain.
从对冲基金研究,一个咨询机构得到的数据表明在第二季度,一种包括长短期销售的分享规避策略在美国和英国最受欢迎。
The term "hedge" (from hedging your bets) derives from the aim of making money whether a market goes up or down.
“对冲”(来自为你的赌注两面都下注)这个术语取自不论市场风向如何都能获利这个目标。
We study the problem about futures combination hedging step by step. For given spot, the futures for a combination hedge are found out progressively.
研究期货市场逐步组合套期保值问题,对给定要保值的现货资产,逐步找出参加组合套期保值的期货资产。
Cross-Hedge means hedging a cash market position in a futures contract for a different but price-related commodity.
交叉避险利用品种不同但价格相关性强的期货合约为现货市场的头寸进行套期保值。
Through hedge accounting, the accounting recognition of hedging profit and loss in the financial market can be delayed after the corresponding profit and loss exposed by basic risk are recognised.
通过对冲会计法,金融市场对冲的收益和损失的会计认可被推延至基础风险暴露的相应收益和损失得到认可之后。
The function of risk transfer in futures markets mainly implements by hedging, so the key issue of futures markets is the determination of hedge ratio.
期货市场的风险转移功能主要通过套期保值策略来实现,期货市场套期保值的关键问题是套期保值比率的确定。
Most hedge funds use derivatives only for hedging or don't use derivatives at all, and many use no leverage.
大多数对冲基金只用于对冲的衍生工具或衍生工具不使用所有,许多没有使用杠杆。
The main reason that firms invest futures is to hedge price risk through hedging in futures markets.
企业参与期货的主要目的是通过在期货市场进行套期保值交易实现转移、规避价格风险。
To hedge with foreign currency denominated stock index future, the interdependence of equity, futures, and foreign exchange markets is important in formulating hedging strategies.
用外币标价的股票指数期货套期保值时,股票、期货和外汇市场的相关性在进行套期保值策略中起着重要的作用。
The effectiveness of a "hedge" is measured in terms of the residual gain or loss that results from a currency movement after taking any hedging into account.
衡量套期保值效益的标准是,考虑套期之后,货币汇率变动导致的剩余收益或损失。
Thus there is little incentive to hedge, and gold producers are not only not hedging, they are reducing their existing hedge positions, thus removing gold from the market.
黄金生产商现在对套期保值毫无兴趣,他们不仅不做对冲,还在不断地减持对冲部位,这样就把金子从市场上拿走了。
In this article, a new measure of hedging efficiency is described, namely the measure expresses the distance between the hedging service provided by the futures exchange and the perfect hedge.
本文从期货交易所的角度提出了套期保值有效性的表示方法,即用期货交易所提供的套期保值服务与理想的服务之间的差距表示。
Many Chinese MNCs use foreign currency derivatives to hedge exchange rate risk, however, the relationship between the hedging and firm value has not been examined empirically.
我国不少跨国公司开始使用外汇衍生工具来对冲人民币波动带来的汇率风险。
Finally, the example discusses the use of the CSI 300 Index futures to hedge the specific application process and illustrate the evaluation of the effect of hedging is analyzed.
最后,举例论述了利用沪深300指数期货进行套期保值的具体应用过程,并结合实例对套期保值效果的评价进行了分析。
To gain the perfect effect of hedging, it is a key to figure out hedge ratio.
要取得理想的套期保值效果,关键在于套期保值比率的计算。
VECM model is helpful to estimate the hedge ratio with minimum risk which provides investors a practical and operable implement to choose hedging approaches.
利用向量误差修正模型可以估计最小风险套期保值比,为投资者综合选择风险最小的套期保值策略提供了现实的、可操作的定量分析工具。
When the situation is particularly urgent, can not rescue the implementation of the ignition and the red line of fire more hedging, the hedge should be selected place to lie down.
当情况特别紧急,无法实施点火解围和冲越火线避险时,应选择就地卧倒避险。
As for the hedging strategy, this thesis mainly discusses its principle, the hedge ratio and the imperfect hedging strategy.
对于套期保值策略,本文主要讨论了套期保值的基本原理、套期保值比率的确定以及不完全的套期保值策略。
The effectiveness of a hedge is measured in terms of the residual gain or loss that results from a rate, price or currency movement after taking account of any hedging.
对冲效益的衡量主要通过对冲后价格、利率或汇率变动导致的剩余收益或亏损。
Financial services: Abide by the principle "Risk diversification, Future hedge", we set up a high-quality trading platform, USES financial derivatives for commodity hedging and arbitrage services.
金融服务遵循“分散风险、套保结合”原则,公司搭建了高质量的交易平台,利用金融衍生工具,为大宗商品现货提供保值和套利服务。
However, more and more domestic companies make a loss though hedging because of less in knowledge of hedge risk and the limitation in hedge risk valuation and management.
然而,近年来屡屡出现的套期保值高额亏损事件,表明国内企业对于基差的风险认识不足,在基差风险评估与管理制度方面存在缺陷。
New method of evaluating the hedge performance which adopted the integrated index of mean, variance and low partial moments of the returns of the hedging portfolio was proposed.
本文提出了采用套保组合收益率的均值、方差和半方差作为综合衡量套保绩效指标的新方法。
New method of evaluating the hedge performance which adopted the integrated index of mean, variance and low partial moments of the returns of the hedging portfolio was proposed.
本文提出了采用套保组合收益率的均值、方差和半方差作为综合衡量套保绩效指标的新方法。
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