网络两面下注战略 网络释义 1. 两面下注战略 ...求对华“软遏制”的战略选择,其对华战略的本质还是“两面下注战略”(hedgingstrategy) ——既准备应对美中关系中出现最坏的 … blog.sina.com.cn|基于4个网页
今天我们来讲一点风险对冲的金融知识,为了突出文章的特点,我打算从实际的工作中入手,把风险控制,对冲,和相关的金融知识做一个串联的介绍。 鉴于hedge fund已经把hedge(对冲)赋予了赚大钱的属性,本文打算重回“对冲”这个词的原始意义。从“真正”的对冲讲起,即不存在风险套利的对冲(risk neutral hedging)。关于以赚钱...
hedging strategy 避险策略;套期保值策略;有备无患策略;对冲战略 双语例句 Then people can evade financial market risk better by using hedging strategy with optimal hedge ratio.利用最优的套期保值比来进行套期保值策略可以更好的回避风险.
hedging strategy 青云英语翻译 请在下面的文本框内输入文字,然后点击开始翻译按钮进行翻译,如果您看不到结果,请重新翻译! 翻译结果1翻译结果2翻译结果3翻译结果4翻译结果5 翻译结果1复制译文编辑译文朗读译文返回顶部 套期保值策略 翻译结果2复制译文编辑译文朗读译文返回顶部...
需要把盈余存入银行。当企业不知道未来会发生什么时就会出现风险。因此,像许多业务决策和活动都有风险一样, 当企业不知道未来的利率走势时会产生利率风险: (i)他们可能对已经或计划中的借款支付多少利息; (ii)他们对已经或计划中的存款可能获得多少利息。
hedging strategy 套期保值策略 您好,答题不易 如有帮助请采纳,谢谢
Define Hedging Strategy. The hedging strategy in relation to the Facility to be agreed in writing between the Borrower and the Arranger, as amended from time to time, for the hedging of the interest, currency and commodity price risks of the Borrower.
风险对冲策略的核心在于管理市场风险,包括利率风险、股市证券风险、信用市场风险和其他风险。对冲目标主要分为硬性止损、波动平稳和尾部风险控制。例如,通过购买空头期权put来限制最大亏损,或使用波动率指标期货互换来实现平稳收益。股市风险对冲策略包括静态和动态空头卖出期权,以及利用股票波动率指标期货或互换...
In favorable circumstances, a calendar spread results in a cheap, long-term hedge that can then be rolled forward indefinitely. However, without adequate research the investor may inadvertently introduce new risks into their investment portfolios with this hedging strategy. ...
Another hedging strategy is the use of options, which allow investors to protect against the risk of big losses. Investors can also make trades based on market volatility by tracking the volatility index indicator, the VIX, often referred to as the "fear index," due to its tendency to...