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来源:百度知道 编辑:UC知道 时间:2024/05/22 10:29:14
外汇风险管理的理论综述
外汇市场和其它金融市场不同,外汇市场的速度、波动性和巨大规模是金融界里任何其它市场无法比拟的。 外汇市场是不可操控的,没有任何一个事件、个人或因素能够控制它的走向。 外汇市场交易存在高风险,就像任何其它投机性行为一样,高风险也带来潜在的高回报。
货币市场的本质是投机性大且波动性高。在几天、几小时,有时甚或是几分钟内,任何货币与另外一种货币或所有其他货币相比其价值都可能增长或下跌。货币市场的不可预测性和高回报是吸引投资者在货币市场进行交易和投资的原因。
可能会出现在外汇交易中的外汇风险管理问题:
1货币汇率的不可预测性
2外汇汇率的大幅变动性
3波动的市场提供获利机会
4损失付款
5付款和收款的延迟确认
6收到的银行汇票和合同价格之间的差异

Foreign Exchange Risk Management Theory
The foreign exchange market and other financial market, the foreign exchange market rate, and the magnitude of fluctuations in the financial sector in any other market, second to none. The foreign exchange market is not manipulated, not a single event, person or factor to control the direction of it. The existence of the foreign exchange market transactions in high-risk, like sex, like any other speculative, high risk high return potential.
The nature of the currency market is large and fluctuations in speculative high. In a few days, hours or even minutes in some cases, any currency with another currency or all of its value compared to other currencies may increase or decline. The unpredictability of the money market and high returns to attract investors in the money market trading and investment reasons.
May occur in the foreign exchange transactions of foreign exchange risk management issues:
1 currency exchange rate