摘要
自2005年7月21日我国汇率制度改革以来,人民币汇率已累计升幅超过7%。这使得我国出口产品的竞争力减弱,外贸企业的利润减少,抑制了出口积极性,同时也加大了外贸企业的外汇风险。因此,如何正确地认识外汇风险和较好地防范与化解外汇风险,如何保障企业的正常经营成果并赢得未来国际市场、进一步健康发展,是外贸企业一个亟待探讨和解决的问题。
Since the reform of the exchange rate system on 21st July 2005 in China, the accumulated rise of the RMB exchange rate has surpassed 7% , which affects the competitiveness of the export product, the profits of the foreign trade enterprises, and the initiative of exports, as well as the exchange rate risks of the foreign trade organizations. Thus, it is urgent problem for foreign trade enterprises of how to identify and prevent foreign currency risks, and how to ensure the regular operation profits for enterprises and win the international market in the future.
出处
《特区经济》
北大核心
2008年第2期292-294,共3页
Special Zone Economy
关键词
汇制改革
外汇风险
外贸企业
Exchange Rate System Reform
Foreign Currency Risk
Foreign Trade Enterprises
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