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国际投资中如何防范汇率风险
引用本文:熊卫,陈涛. 国际投资中如何防范汇率风险[J]. 西安财经学院学报, 2001, 14(2): 24-26
作者姓名:熊卫  陈涛
作者单位:中南财经政法大学研究生部,湖北武汉,430064
摘    要:在全球经济日趋一体化的形势下,国际投资市场扮演着愈来愈重要的角色,然而,跨国企业总是面临着由于未能预期到的汇率变动而可能带来的经济损失.本文试图从理论上分析资产组合调整对汇率波动的适应,并初步探讨实务中如何防范交易风险、折算风险和经济风险.

关 键 词:国际投资  汇率风险  资产组合
文章编号:1008-1097(2001)02-0024-03
修稿时间:2001-01-10

Prevention of exchange rate risk in intenational investment
XIONG Wei,CHENG Tao. Prevention of exchange rate risk in intenational investment[J]. Journal of Xi‘an Institute of Finance & Economics, 2001, 14(2): 24-26
Authors:XIONG Wei  CHENG Tao
Abstract:International investment is playing a more and more important role along with the globalization of economy.But multinational companies are always faced with exchange rate risks due to the unexpected exchange rate and result in economic loss.This paper tries to analyze theoretically how to adjust the assets portfolio to prevent the risks resulting from exchange rate fluctuation,and how to prevent trade risks,discount risks and economic risks in practice.
Keywords:International investment  Exchange rate risk  Assets portfolio
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