出口商使用的遠匯避險 - 美元
By Ursula
at 2010-12-21T09:25
at 2010-12-21T09:25
Table of Contents
對遠期外匯不是非常的瞭解,只略知一二~想請教各位幾個問題!
一出口商 預計"三個月"後會收到"十萬元美金"
當時美元兌台幣 匯價:31.10
也就是三個月後應收 311萬台幣
但由於擔心美金貶值 台幣升值 <目前大環境似乎就是這樣@@>
1.所以和銀行作遠期外匯的"預售" or "預購" 兩者用法有何不同? ←對嗎?
2.和銀行在敲匯價時,因為是擔心美元貶值,所以是否只能敲定
比31.10還低的價位? 銀行應該不會傻傻讓出口商敲31.10以上的價位吧@@?
3.作遠匯時,出口商 須要 付出甚麼成本嗎?例如保證金之類的?
4.遠期外匯最大的風險在哪呢?
5.是否有比遠期外匯更好的避險工具?如外匯保證金?
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