在我國經濟發展過程中,國際貿易一直扮演非常重要角色。 近年隨著我國金融國際化腳步加快,金融市場震盪加劇,因而由跨國或是兩岸三地背後所衍生的外匯避險與操作益形重要。 公司或是個人在面對匯率走勢可能發生變化,或一定會發生變化的情形下,應該做的是"風險管理",儘可能的把風險降到最低,或是可忍受的範圍內。 本課程將由基本的匯率判斷談起,再論及外匯風險產生的原因,以及各種企業避險工具的運用,期盼學者能深刻了解市場並免去不必要的風險。 修完本課程後,將提升對匯率的避險工具的瞭解與避險策略運用的能力,有助於增進對公司理財、匯兌處理、個人外匯市場投資的能力。 修完本課程後,可參加『外匯人員專業能力測驗』,有興趣者,可再鑽研「國際匯兌」相關書籍,以增進此避險工具的了解。
《 課程簡介 -- English 》
The purpose of this course is to develop a solid understanding of foreign exchange, the factors affecting foreign exchange,how to avoid/mamage FRX risk, and its application to investment management. From the class, you will learn theories and at the same time practice them to reality.
Moreover, you will have the fundamental ability to hedge the risk raising from international trade and business, investment, and ..., also, this will help you to manage corporate finance and to invest in foerign exchange more efficiency.
You also can take the license of professional foreign exchange capability test. Fore further study, you can take the "Macroeconomics "and " Money and Banking" courses to enhance your ability.
|