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基于人民币汇率双向波动的企业外汇风险管理探究 被引量:9

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摘要 2014年,人民币汇率波幅扩大并形成双向波动趋势,我国企业面临的外汇风险日益突出,管理难度明显增大。文章归纳了人民币汇率新走势带来的企业外汇风险,分析了当前企业外汇风险管理中存在的问题并提出了相应的对策。
作者 周俐
出处 《经济论坛》 2015年第1期116-119,共4页 Economic Forum
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