本文首先分析我国企业汇率风险管理概况,包括汇率风险的概念、外汇单笔业务风险和整体外汇风险及其计量方法。
At first, we introduce the general situation of foreign exchange risk management in our country and the measure methods for the foreign exchange risk.
并针对汇率风险和利率风险比较分析了几种风险管理的方法,如货币互换、利率互换、外汇期权等。
The paper compares and analyses several kinds of risk management methods, such as monetary swap, interest swap, foreign exchange options etc.
外汇衍生工具作为规避汇率风险进行投机保值的工具,具有高风险性,其基本风险有市场风险、信用风险、流动性风险、营运风险和法律风险。
As a valuable tool of avoiding exchange-rate risk and guaranteeing price congenially, the FX Derivatives have market risk, credibility risk, liquidity risk, management risk and legal risk.
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