首页 | 本学科首页   官方微博 | 高级检索  
     检索      

利用期权规避汇率风险的策略研究
引用本文:李文汉,钟盈.利用期权规避汇率风险的策略研究[J].价值工程,2020,39(5):59-60.
作者姓名:李文汉  钟盈
作者单位:河北地质大学数理学院,石家庄050031;河北地质大学数理学院,石家庄050031
基金项目:河北省社科基金项目"金融风险防范背景下期权规避汇率风险策略研究"
摘    要:随着经济贸易的全球化,外汇市场所带来的金融风险不断增强,其中汇率的异常波动是主要的风险来源,合理规避汇率风险势在必行。作为一类重要的金融衍生产品,外汇期权用来规避由汇率波动带来的风险,效果显著。本文首先引入外汇期权,并结合美元/人民币的外汇市场行情对外汇期权进行定价,然后通过具体的案例分析了期权用来规避汇率风险的策略。

关 键 词:外汇期权  汇率风险  规避

The Strategy Study of Using Options to Avoid Exchange Rate Risk
LI Wen-han,ZHONG Ying.The Strategy Study of Using Options to Avoid Exchange Rate Risk[J].Value Engineering,2020,39(5):59-60.
Authors:LI Wen-han  ZHONG Ying
Institution:(College of Mathematics and Physics,Hebei GEO University,Shijiazhuang 050031,China)
Abstract:With the globalization of economy and trade,the financial risks are increasing in the foreign exchange market,among which the abnormal fluctuation of exchange rate is the main source of the risk.It is more imperative to avoid exchange rate risk reasonably.As an important and effective financial derivatives,foreign exchange option is used to avoid the risks caused by the exchange rate fluctuation.This paper introduces the foreign exchange option and gives the option value of the foreign exchange rate of USD/RMB.And then,it analyzes the strategies of the option to avoid exchange rate risk through specific cases.
Keywords:foreign exchange option  exchange rate risk  avoid
本文献已被 维普 万方数据 等数据库收录!
设为首页 | 免责声明 | 关于勤云 | 加入收藏

Copyright©北京勤云科技发展有限公司  京ICP备09084417号