摘要
欧元启动后其汇率稳定性将受到欧盟内外政治、经济等多重因素的影响,同时欧元汇率机制的运行也面临考验。欧元面世引起的国际货币金融格局的变化将产生巨大的外汇风险,我国应在外汇储备管理、外资外债管理、进出口贸易管理、公司理财。银行业务国际化等政策方面作出相应的调整以防范欧元风险。
When EURO comes into use,its exchange rate stability will be influenced by many factorssuch as po1itical and economic factors from European Union. The exchange rate mechanism of EURO alsoconfronts challenges. EURO will lead to the framework change of international money and finance and thusgive rise to considerable foreign exchange risk. For controlling and avoiding EURO risk,China should ad-just relevant policies in the management of foreign exchange reserve, the management of foreign-fundedcapita1 and debt,the management of foreign trade,corporate Financing and the internationalization of banking sector, etc.
出处
《武汉大学学报(人文科学版)》
1999年第5期65-70,共6页
Wuhan University Journal (Humanity Sciences)
关键词
欧元
汇率问题
外汇风险管理
EURO
exchange rate problem
The risk management on foreign exchage