Under this background, the research of the foreign exchange risk seems to be realistic and important.
在此背景下,外汇风险问题的研究就显得具有前瞻和重要的现实意义。
Managing the foreign exchange risk through hedging and use of derivatives is very common in these days.
在这些天,通过对冲外汇风险管理和使用衍生品是很常见的。
There are many types of risks, but only few of them can bring losses as large as foreign exchange risk.
风险种类很多,但只有少数人能给外汇风险带来损失。
As the recession sweep all over the world, China can not avoid and the foreign exchange risk is increasing.
在国外经济不景气的大环境下,我国也难以独善其身,外汇风险等金融风险正逐步加大。
Basted on analyzed results, it is urgent affairs to set up a new system to manage the foreign exchange risk.
基于上述实证分析的结果,构建一套完整的人民币汇率风险管理体系已成当务之急。
Foreign exchange risk and prevention and management has become a business must face and resolve important issues.
而外汇风险的防范和管理已成为企业必须面对和解决的重要课题。
Especially the foreign exchange risk is placed at the top of the risks to be concerned for an effective management.
研究还包括外汇风险的管理、测量和研究对冲这种风险的不同方法。
This paper was an empirical research of the early warning of foreign exchange risk in our country by ternary logit model.
本文利用三元模型对我国外汇风险预警进行了实证分析。
Whether from the macro or the micro Angle, the foreign exchange risk has a great effect on the general situation of a country.
无论是从宏观上还是从微观上,外汇风险都极大地影响着一国的经济状况。
The back test result shows that the GARCH-EVT model can also better predict the foreign exchange risk like describing share risk.
后验测试的结果表明,与股市风险的研究结果一样,GARCH-EVT模型能较好地预测单一外汇风险。
The risk a bank faces includes Credit risk, Market risk, Capital risk, Liquidity risk, Foreign Exchange risk and Operational risk.
商业银行面临的风险包括信用风险、市场风险、资本风险、流动性风险、外汇风险、操作风险。
In the foreign exchange risk stress tests, individual listed Banks absolute change of the foreign exchange exposure were different.
在外汇风险压力测试中,各家上市银行的外汇敞口绝对值变动值均不同。
Research also includes the management and measurement of foreign exchange risk and studies the different methods of hedging this risk.
研究还包括外汇风险的管理、测量和研究对冲这种风险的不同方法。
Under certain conditions, the credit risk, interest risk, liquidity risk, foreign exchange risk, price risk and other kinds of risks can also occur.
在某些情况下,也会产生信用风险、利率风险、流动性风险、外汇风险和价格风险等其他类型的风险。
At first, we introduce the general situation of foreign exchange risk management in our country and the measure methods for the foreign exchange risk.
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。
The second is to provide some insurance against foreign exchange risk, by which we mean the adverse consequences of unpredictable changes in exchange rates.
二是针对外汇风险提供一定的保障,这主要是指汇率不可预见变化的反面结果。
The beginning of the growing importance of transnational corporations on the foreign exchange risk management and reduce transaction risks, increase business value.
跨国公司开始越来越重视对外汇交易风险的管理,降低企业的交易风险,增加企业价值。
Effective managements of the foreign exchange risk is very important, for the stability of our bank systems, it can ensure the reform of foreign exchange rate system.
商业银行对外汇风险的有效管理对于保证银行体系的稳定和汇率体制改革的成功至关重要,研究汇率转轨时期商业银行外汇风险管理问题很有必要。
The corporation use financial derivative instruments to hedge, mainly performance in the management of interest rate risk, foreign exchange risk, stock risk and so on.
企业利用衍生金融工具进行规避风险,套期保值,主要表现在对利率风险、外汇风险、股票投资风险等风险的管理上。
And on the basis of the abroad quite abundant finance and foreign trade practice, the author puts forward several Suggestions about how to avoid foreign exchange risk.
并在借鉴国外比较成熟的规避汇率风险的金融业务和外贸实务基础之上,给出对于我国中小型外贸企业结汇的几点建议。
A manufacturing firm has many opportunities or options to eliminate interest rate risk, foreign exchange risk, liquidity risk, and the risks associated with property and casualty perils.
一家产业公司有许多机会或选择来消除利率风险、外汇风险、资金流通风险以及与财产和意外伤害的危险相关的风险。
In these conditions, the development of new modern and effective methods for managing foreign exchange risk becomes a great necessity for the players in international financial activity.
在这些情况下,开发新的现代和有效的外汇风险管理方法对国际金融活动的参与者是非常必要的。
But at present, companies still have problems in the understanding of foreign exchange risks, concept of foreign exchange risk management, organization of foreign exchange risk management, etc.
但是目前企业在对外汇风险的认识、外汇风险管理的理念以及外汇风险管理的组织形式等方面还存在一些问题。
As we have seen in the price action in the foreign exchange market, risk aversion and repatriation flows has driven the Yen sharply higher against all of the major currencies.
现在国外货币交易市场对此的反应是,避险和海外资金回流已经迅速推高了日元对其它主要货币的汇率。
Not to have the foreign exchange to buy a new bearing for a steam turbine, or oil, or fertilizer, when the need arises is a risk they simply cannot afford.
一旦需要购买汽轮机上用的新轴承,或者石油,或者化肥,而拿不出外汇来,那简直是这些国家担当不起的一种风险。
Both its main sources of foreign exchange, workers' remittances and garment exports, are at risk.
外汇两大源头——输出劳务汇款和服装出口——都岌岌可危。
China is not at risk of an Italian-type crisis (or a Greek type) because it doesn't have foreign debt and it has exchange controls. So that's not going to happen.
中国不会出现意大利式的危机(或是希腊式危机),因为它既没有外债,同时还实行汇率控制。所以这样的一幕不会上演。
China is not at risk of an Italian-type crisis (or a Greek type) because it doesn't have foreign debt and it has exchange controls. So that's not going to happen.
中国不会出现意大利式的危机(或是希腊式危机),因为它既没有外债,同时还实行汇率控制。所以这样的一幕不会上演。
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