摘要
在汇率频繁而又不规则发生变动和银行外汇业务交易不断扩大的情况下,汇率风险已成为影响银行成本收益和经营稳定性的关键风险之一。本文分析了在新的汇率制度下我国商业银行面临的主要外汇风险,并结合当前商业银行外汇风险管理现状,提出了商业银行汇率风险的管理策略和加强外汇风险管理的若干建议。
In the exchange rate frequent and has in anomalous the situation which change and the bank foreign exchange business transaction expands unceasingly,the exchange rate risk has become affects the bank cost income and management stable essential risks one.This article has analyzed the main exchange risk which our country Commercial bank faces under the new exchange rate system,and unifies the current Commercial bank exchange risk management present situation,proposed the Commercial bank exchange rate risk's management games and strengthen the exchange risk management certain suggestions.
出处
《改革与开放》
2010年第3X期68-68,共1页
Reform & Openning