开发者:上海品职教育科技有限公司 隐私政策详情

应用版本:4.2.11(IOS)|3.2.5(安卓)APP下载

IRIS2019CFA · 2019年08月31日

问一道题:NO.PZ2018062003000201

问题如下图:

    

选项:

A.

B.

C.

解释:


currency exposure 没有太明白,老师能解释一下吗

1 个答案

Wendy_品职助教 · 2019年09月01日

currency exposure  就是有外币风险敞口的意思

  • 1

    回答
  • 1

    关注
  • 402

    浏览
相关问题

NO.PZ2018062003000201 问题如下 Italicompany trieto minimize the foreign exchange exposure on a euro-nominatenotes receivable e from a British company in 150 ys, the Italicompany woulmost likely: A.Initiate a reexchange rate contract. B.Initiate a forwarcontract. C.Initiate a spot transaction. B is correct.Because 150 ys later, the notes creceivable. In orr to rethe risk of currenexposure, the Italicompany woulinitiate a forwarcontrato sell euros a certain exchange rate.考点 forwarcontract解析因为150天后,这些票据就可以收回。为了降低汇率风险,意大利公司将发起一项远期合约,已锁定汇率。 RT

2022-12-27 11:07 1 · 回答

NO.PZ2018062003000201 问题如下 Italicompany trieto minimize the foreign exchange exposure on a euro-nominatenotes receivable e from a British company in 150 ys, the Italicompany woulmost likely: A.Initiate a reexchange rate contract. B.Initiate a forwarcontract. C.Initiate a spot transaction. B is correct.Because 150 ys later, the notes creceivable. In orr to rethe risk of currenexposure, the Italicompany woulinitiate a forwarcontrato sell euros a certain exchange rate.考点 forwarcontract解析因为150天后,这些票据就可以收回。为了降低汇率风险,意大利公司将发起一项远期合约,已锁定汇率。 是双方协商后写在合同中,还是根据什么标准制定出来呢?

2022-11-17 22:06 1 · 回答

NO.PZ2018062003000201问题如下Italicompany trieto minimize the foreign exchange exposure on a euro-nominatenotes receivable e from a British company in 150 ys, the Italicompany woulmost likely:A.Initiate a reexchange rate contract.B.Initiate a forwarcontract.C.Initiate a spot transaction.B is correct.Because 150 ys later, the notes creceivable. In orr to rethe risk of currenexposure, the Italicompany woulinitiate a forwarcontrato sell euros a certain exchange rate.考点 forwarcontract解析因为150天后,这些票据就可以收回。为了降低汇率风险,意大利公司将发起一项远期合约,已锁定汇率。A为什么不对?是没有这种衍生产品吗?

2022-10-11 17:05 1 · 回答

Initiate a forwarcontract. Initiate a spot transaction. B is correct. Because 150 ys later, the notes creceivable. In orr to rethe risk of currenexposure, the Italicompany woulinitiate a forwarcontrato sell euros a certain exchange rate. 考点 forwarcontra解析因为150天后,这些票据就可以收回。为了降低汇率风险,意大利公司将发起一项远期合约,已锁定汇率。 老师,请问这道题讲的是哪个知识点?没印象

2020-02-21 13:01 1 · 回答