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用期权管理非金融企业外汇风险
引用本文:刘诗宇,詹正华.用期权管理非金融企业外汇风险[J].贵阳学院学报(社会科学版),2007(2):71-74.
作者姓名:刘诗宇  詹正华
作者单位:江南大学商学院国际经济与贸易系 江苏无锡214122
摘    要:期权是一种复杂的金融衍生工具,其在进行外汇风险管理时可以通过杠杆作用,以小成本管理大风险,是目前风险管理界最为推崇的风险管理工具。使用期权管理非金融企业的外汇风险,并探讨使用期权战略进行风险管理。

关 键 词:期权  外汇风险  风险管理  期权战略
文章编号:1673-6133(2007)02-0071-04
修稿时间:2006-12-01

Employing Option to Manage the Foreign Exchange Risk of Non-financial Corporations
LIU Shi-yu, ZHAN Zheng-hua.Employing Option to Manage the Foreign Exchange Risk of Non-financial Corporations[J].Journal of Guiyang College:Social Sciences,2007(2):71-74.
Authors:LIU Shi-yu  ZHAN Zheng-hua
Institution:Department of International Economy and Trade, Commerce College of Jiangnan University, Wuxi, Jiangsu 214122
Abstract:Option is a complicated tool derived from finance and it is used in the management of the foreign exchange risk by means of leverage,with small cost managing big risk,which is a popular risk management tool in the world.The article suggests that option can be used to manage the foreign exchange of non-financial corporations and explores the option strategies of the risk management.
Keywords:option  foreign exchange risk  option strategy
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