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外汇风险及其控制方法探析
引用本文:李娜娜,祝焰.外汇风险及其控制方法探析[J].吉林省经济管理干部学院学报,2003,17(3):32-34.
作者姓名:李娜娜  祝焰
作者单位:华中科技大学管理学院,湖北 武汉 430074
摘    要:在实行金融自由化战略的过程中,可能会由于种种原因,导致金融风险的爆发,而其又往往与外汇风险相联系,因而如何有效控制外汇风险就成为世界各国金融及会计界研究的热点问题。通常说来,外汇风险可以分为系统风险和运作风险,由于外汇系统风险是无法通过制定相应的对策彻底消除的,因此,要想降低风险,就只有降低外汇的运作风险。

关 键 词:金融风险  外汇风险  系统风险  运作风险  汇率制度
文章编号:1009-0657(2003)03-0032-03
修稿时间:2003年3月25日

An Analysis on Foreign Exchange Risk and Risk Control
Li Nana,Zhu Yan.An Analysis on Foreign Exchange Risk and Risk Control[J].Journal of Jilin Province Economic Management Cadre College,2003,17(3):32-34.
Authors:Li Nana  Zhu Yan
Abstract:Financial crisis may burst out because of various reasons during the process of financial open strategy, and one of the most important reasons is foreign exchange risk.Therefore, it has been seriously concerned to avoid the problem and to make it under the effective control in the field of finance and accounting. Generally, foreign exchange risk consists of system risk and operation risk, and this article will introduce some methods to solve the problems of risk control from the view of operation risk.
Keywords:Foreign exchange risk  System risk  Operation risk  Risk control
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