汇率风险(Currency Risk)汇率风险又称外汇风险或外汇暴露,是指一定时期的国际经济交易当中,以外币计价的资产(或债权)与负债(或债务),由于汇率的波动而引起...
基于568个网页-相关网页
(三)汇率风险管理 汇率风险(Exchange Rate Risk),又称货币风险(Currency Risk)是指金融机构、企业和个人持有以外币发行或需要以外币偿还的债券等资产由于汇率变动而蒙受损失的可能性。
基于10个网页-相关网页
authority for currency risk 通货风险的授权
currency risk sharing 货币风险分担 ; 与币风险分担
cross-currency settlement risk 跨国货币结算风险
foreign currency exchange risk 外币兑换风险
cross currency risk 交叉货币风险
Currency Risk Management 外币风险管理
Wholly analyzes the credit risk, the currency risk, the moral risk under the opens of the capital project, and proposes the overall performance model and the risk evolution in this situation.
4.将资本项目开放下的信贷风险、货币风险、道德风险进行整合分析,并提出了该情况下总体风险的综合表现模型及风险演进。
参考来源 - 中国汇率政策研究In fact, it was the U. S. mode of the electronic currency risk management and regulatory approach.
实际上是美国版的电子货币风险管理和监管模式。
参考来源 - 电子货币监管法律制度研究·2,447,543篇论文数据,部分数据来源于NoteExpress
And buying sovereign debt locally inevitably means taking on currency risk.
而且购买当地国债不可避免的要承担货币风险。
Far better for the currency risk to be borne by the central bank and sovereign-wealth funds.
让中央银行和主权财富基金承担货币风险要好得多。
The pair hope to follow Estonia into the euro, reducing their currency risk and boosting their image with investors.
这两国希望在爱沙尼亚之后加入欧元区,来减少他们的货币风险和提高投资者对他们的印象。
应用推荐