财务管理类本科毕业论文外文翻译(原文+译文).doc

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财务管理类本科毕业论文外文翻译(原文+译文),财务管理类本科毕业论文外文翻译financial risk managementalthough financial risk has increased significantly in recent years, risk and risk management are not contemporary issue...
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财务管理类本科毕业论文外文翻译

 


Financial Risk Management
Although financial risk has increased significantly in recent years, risk and risk management are not contemporary issues. The result of increasingly global markets is that risk may originate with events thousands of miles away that have nothing to do with the domestic market. Information is available instantaneously, which means that change, and subsequent market reactions, occur very quickly. The economic climate and markets can be affected very quickly by changes in exchange rates, interest rates, and commodity prices. Counterparties can rapidly become problematic. As a result, it is important to ensure financial risks are identified and managed appropriately. Preparation is a key component of risk management.

财务风险管理

译文:[美]卡伦•A•霍契.《什么是财务风险管理?》.《财务风险管理要点》.约翰.威立国际出版公司,2005:P1-22.
财务风险管理
尽管近年来金融风险大大增加,但风险和风险管理不是当代的主要问题。全球市场越来越多的问题是,风险可能来自几千英里以外的与这些事件无关的国外市场。意味着需要的信息可以在瞬间得到,而其后的市场反应,很快就发生了。经济气候和市场可能会快速影响外汇汇率变化、利率及大宗商品价格,交易对手会迅速成为一个问题。因此,重要的一点是要确保金融风险是可以被识别并且管理得当的。准备是风险管理工作的一个关键组成部分。