金融汇率

  • 网络Financial Exchange Rate;Financial Rate
金融汇率金融汇率
  1. 面对经济全球化,涉及到经贸、金融汇率等国际争端,很难再以“国家主权”来简单地予以拒绝讨论。

    In the face of the economic globalization , involve such international disputes as the economic and trade , financial exchange rate , etc. , it is very difficult to refuse to discuss briefly with " state sovereignty " .

  2. 跳跃点统计检测的小波方法及其在金融汇率中的应用

    Wavelet Detection of Jump Points and Its Application to Exchange Rates

  3. 开始步入本论文正题,先介绍香港金融、汇率制度的发展过程、曾经使用过的汇率制度、使用联系汇率的原因及其在香港金融市场的运作情况。

    Coming to the theme of the thesis , chapter 2 introduces the development of the financial system and exchange rate system of Hong Kong ;

  4. 借助大宗商品价格下滑给经济带来的好处,并利用其可观的自我保险作为应对不可避免的全球金融和汇率动荡的缓冲,这些经济体将强化加快增长和发展成熟的前景。

    By benefiting economically from lower commodity prices and using their considerable self-insurance as a buffer against inevitable global financial and currency volatility , they will reinforce their prospects for faster growth and continued developmental maturation .

  5. 金融工程在汇率风险管理中的应用研究

    Applied Study of Financial Engineering on Managing Exchange Rate Risk

  6. 中国金融市场中汇率和股票指数的关联性

    Linkages between Exchange Rates and Stock Indexes : Evidence from Chinese Financial Markets

  7. 中国东盟区域金融合作:汇率制选择探析

    A Probe into the Choices of Exchange Rates in the Financial Cooperation in Sino-ASEAN Region

  8. 金融危机下汇率变动对失业率变动的相关性研究

    The Mutual-Change Relation for Variation of the Exchange Rate to Unemployment Ratio under the Financial Crisis

  9. 本文从理论上系统的讨论金融工程在汇率风险管理中的应用研究。

    The thesis tries to theoretically discuss the applied study of financial engineering on exchange rate risk management .

  10. 披露承担汇率波动风险的金融工具的汇率风险。

    The exchange rate risks of financial instruments subjecting to the risk of exchange fluctuation shall be disclosed .

  11. 本文分析了在国际金融教学中汇率及报价换算的四个学习难点。即:买入价与卖出价的理解;

    The paper analyses four difficult points on exenange rate in international banking teaching , that is , comprehension of buying price and selling price ;

  12. 布雷顿森林体系崩溃后,国际金融市场上汇率和利率剧烈动荡,给金融机构和公司企业带来了巨大的经营风险;

    After the collapse of the Bretton Woods system , the exchange rate and interest rate fluctuated seriously in international financial markets , Financial institutions and corporations faced great risk .

  13. 1976年,牙买加国际货币体系建立后,西方各国纷纷采用浮动汇率制,国际金融市场的汇率波动开始加剧。

    In 1976 , a new international monetary system , Jamaica system was built . From then on , the occident countries moved into float exchange rate regime in succession .

  14. 一个国家在金融和外汇汇率方面的动荡,将会给国家宏观和微观经济、国家的发展、人民的生活乃至国家的政治安全带来很大的影响。

    : Turbulence on finance and foreign exchange always brings important influence for country 's development , people 's life and political safety of state no matter from macroscopic or microcosmic .

  15. 面对汇率变动的风险,企业应树立风险意识,学习并掌握用金融工具规避汇率风险。

    Facing with the risk of exchange rate changes , enterprises should establish the risk of awareness , to learn and master the use of financial instruments to avoid exchange rate risks .

  16. 结果表明驱动中国资本外逃的主要经济因素为财政赤字增加、政治金融风险和汇率高估,内外资差别待遇是产生资本外逃的重要制度因素。

    The results imply the budget deficit , the politics and finance risk and the overvaluation of the exchange rate are the main economic forcing factors . The discrimination between native and foreign capital is the institutional forcing factor .

  17. 针对这些影响,根据公司具体情况提出了相关的解决方案,即合理正视人民币升值、完善出口收汇管理、提高产品利润、利用金融工具规避汇率风险、积极实施走出去战略。

    And about these effects , the article offers the correlative settlement , just as envisage RMB appreciation actively , consummate export remit management , add productions profit , use finance tool and make factory or company in other country .

  18. 随着国际经济一体化进程的加快和中国加入WTO,中国最终将开放金融市场,实现汇率自由浮动和利率市场化。

    China will open her financial market and achieve free float of exchange rate and interest liberalization with the quickened integration of international economy and the entry to WTO .

  19. 亚洲金融风波与人民币汇率稳定

    The Asian Financial Crisis and the Stability of the RMB Rate

  20. 再者,继续深化金融改革,降低汇率风险。

    Thirdly , reduces exchange rate risk by deepening financial innovation .

  21. 国际金融教学中有关汇率的几个难点评析

    An Analysis of Difficult Points on Exchange Rate in International Banking Teaching

  22. 亚洲金融危机后人民币汇率泡沫的实证分析

    An Empirical Analysis of RMB Exchange Rate Foam After the Asian Financial Crisis

  23. 金融危机和人民币汇率制度改革研究

    Study on Financial Crisis and the Foreign Exchange Rate Regime Reform of RMB

  24. 从东南亚金融危机看人民币汇率制度选择

    Southeast Asian Financial Crisis and RMB Exchange Rate Choice

  25. 金融危机下人民币汇率的变化趋势:现实选择与机制改革

    Prospect of RMB exchange rate amid financial crisis : Realistic choices and mechanism reform

  26. 行为金融视角下的汇率波动特征研究

    A Study on the Characteristics of Exchange Rate Fluctuations from the Perspective of Behavioral Finance

  27. 金融危机对人民币汇率改革影响的相关问题研究

    The Relevant Issues of the Impact of Financial Crisis on the RMB Exchange Rate Reform

  28. 在对金融安全和人民币汇率制度改革这两者系统研究的基础上,深入分析了现行汇率制度下我国金融安全问题。

    Second , the paper analyzes deeply the influence of current exchange rate regime on financial security .

  29. 紧接着,第三节构建计量模型更加深入分析不同金融发展水平对汇率制度的选择效应。

    Next , this chapter deeper analyzed the effect of financial development on exchange rate regime using econometric model .

  30. 在20世纪90年代的金融危机以后,汇率制度再次成为经济学关注的焦点。

    After the financial crises in 1990s , the system of foreign exchange became the focus of the economics again .