1) foreign exchange finance risk
外汇理财风险
2) foreign exchange risk management
外汇风险管理
1.
For the complicated international finance market, it is important and urgent for us to research the foreign exchange risk management of foreign trade enterprises.
在这样的国际金融市场大背景下,对外贸企业外汇风险管理问题的研究越发显示出迫切性与重要性。
2.
This paper analyzes China\'s foreign exchange risk faced by multinational companies and transnational corporations at the present stage of our foreign exchange risk management problems,and on this basis from the three aspects of a positive response.
加之当前国际金融市场上汇率变动频繁,外汇风险给我国跨国公司的稳定发展带来了巨大的冲击,并引发了一系列值得我们关注的问题本文分析了我国跨国公司面临的外汇风险,以及现阶段我国跨国公司外汇风险管理存在的问题,并在此基础上从三个方面提出了积极的对策。
3.
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。
3) foreign exchange risks
外汇风险
1.
How to strengthen the management of foreign exchange risks and reduce or avoid the risks of foreign exchange on enterprises profit have become the most urgent task of our foreign trade enterprise in this situation of money market changing rapidly and RMB reform it exchange system.
如何在国际金融市场急剧变化、人民币汇制改革的形势下,加强外汇风险的管理,减少或避免外汇风险给企业利润造成的损失已成为我国外贸企业的当务之急。
2.
Since the reform of the renminbi exchange rate regime,the foreign exchange risks of Chinese companies have risen gradually.
人民币汇率形成机制改革以来,我国企业面临的外汇风险日益增大。
4) exchange risk
外汇风险
1.
Exchange Risk Control of Multinational Companiesin in China in the Situation of Renminbi Appreciation;
人民币升值形势下在华跨国公司的外汇风险控制
2.
Increasing gold reserve in order to avoid exchange risk;
增加黄金储备 规避外汇风险
3.
The exchange risk,especially economic risk has a deep influence on the business.
外汇风险特别是经济风险对企业经营影响更为深远,通过分析外汇经济风险对我国制造业企业的影响,提出了防范外汇经济风险的对策。
5) Foreign Exchange Risk
外汇风险
1.
An Application of VaR Method to Forecasting Foreign Exchange Risk:Perspectives of ARCH Models;
基于ARCH类模型的VaR方法在外汇风险计量中的应用
2.
Solutions to Reinforce the Management of China s Foreign Exchange Risk;
加强我国外汇风险管理的对策
3.
Foreign Volatility Risk Measure and Foreign Exchange Risk Management of Commercial Bank;
商业银行外汇波动风险的度量及其外汇风险管理
6) foreign-exchange-related financial products
外汇理财
1.
Market of foreign-exchange-related financial products is an emerging financial sector in Chinese financial market.
外汇理财交易类产品市场是我国金融市场的一个新兴市场,从2003年以来,银行在这个新兴的市场上激烈争夺有限的资源,本文的目的是通过分析国际和我国的外汇理财交易类产品市场,确定中国农业银行在这个市场上的战略管理。
补充资料:外汇风险
外汇风险——
外汇风险,又称汇率风险,是指由于外汇市场汇率的不确定性而使人民遭受损失的可能性。从其产生的领域分析,外汇风险大致可分为商业性汇率风险和金融性汇率风险两大类。
说明:补充资料仅用于学习参考,请勿用于其它任何用途。
参考词条