Risk management of foreign exchanges and improvement of financial instruments and tools 外匯風(fēng)險管理與金融工具創(chuàng)新
The increase in volatility causes the difficulty of currency risk management for those companies that engage in international operation 匯率波動的加劇增加了從事國際業(yè)務(wù)的企業(yè)和機(jī)構(gòu)的外匯風(fēng)險管理的難度。
Meanwhile , the paper contrasts the advantages and disadvantages of different financial derivatives and makes a summary of adaptability of different derivatives 在分析如何應(yīng)用不同衍生產(chǎn)品進(jìn)行外匯風(fēng)險管理的同時,運用對比分析法對金融衍生產(chǎn)品的優(yōu)劣勢進(jìn)行對比并總結(jié)了不同衍生產(chǎn)品的適用性。
Is aimed at improving the existing supervisory approach on foreign exchange risk and providing more guidance to ais on the key elements of effective foreign exchange risk management 這份建議文件旨在改進(jìn)現(xiàn)行的外匯風(fēng)險監(jiān)管模式,以及就有效的外匯風(fēng)險管理的主要元素向認(rèn)可機(jī)構(gòu)提供更詳盡指引。