The second economic function provided by futures exchanges is price risk management, also known as hedging.
价格风险管理机制是期货交易所提供的第二个经济功能,即我们通常所说的套期保值功能。
The fuel oil price in the domestic market is often inconsistent with the price in Singapore, necessitating the Shanghai fuel oil futures as an important tool for price risk management.
国内市场燃料油价格与新加坡价格经常“倒挂”,上海燃料油期货成为重要的价格风险管理手段。
These investment biases consist of investor cognition bias of price fluctuation, the estimation bias of stock value, the management bias of risk and return, the operation bias of stock trading.
这种偏差包括投资者对于股票价格波动的认知偏差、投资者对股票价值的估计偏差、投资者对风险和收益的管理偏差和投资者在股票交易过程中的操作偏差。
Risk management of agricultural products is a systematic engineering and financial engineering construction is the modern tool to manage the price risks.
农产品价格风险管理是一个系统工程,工程建设是价格风险管理的手段。
However, derivatives, while being used as risk management tool, bring new risks to companies due to the nature of these products, for example, they are extremely sensitive to price change.
但是由于衍生金融工具本身的以小博大、对价格变动敏感等特点,使得其在为企业提供风险管理手段的同时,反过来又逐渐成为了企业新的风险源。
The calculated result shows that price risk and management risk are the more important two risks for the power plant enterprises.
评价结果表明,价格风险和管理风险是发电企业中比较重要的两种风险。
Forward rate fixed price and risk management, in the new exchange rate forms under the mechanism to become day by day the important question.
远期汇率的定价和风险管理在新的汇率形成机制下成为日趋重要的问题。
It involves a risk management system that USES current market price, the equity level in your account and current market volatility.
在现行市价、账户市值和市场波动幅度的基础上,趋势交易者设立一个风险管控系统。
Furthermore, financial markets for electricity can provide the market participants with risk-management tools and smooth the volatility of the spot price.
并能为市场交易者提供风险管理工具,抑止现货电价飞升,有利于电力市场的稳定。
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.
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。
Strengthen determination and control of fund cost, operating cost, risk cost, define loan fixed price course rate of loss expected and it is expected management of loss rate.
加大资金成本、经营成本、风险成本的测定与控制,并明确了贷款定价过程预期损失率和非预期损失率的管理。
Strengthen determination and control of fund cost, operating cost, risk cost, define loan fixed price course rate of loss expected and it is expected management of loss rate.
加大资金成本、经营成本、风险成本的测定与控制,并明确了贷款定价过程预期损失率和非预期损失率的管理。
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