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国贸公司锁定汇率稳收益

近段时间以来,由于美元走弱,人民币升值趋势明显,汇率波动幅度变大。为了更好地规避汇率风险,争取最大收益,国贸公司综合研判汇率后期走势,结合已签订单情况,与银行签订了 1650万美元的远期结汇协议,平均汇率6.93,相比最近6.81的现汇买入价及后期下行预期,锁定收益近200万元人民币。

锁定汇率,即远期结售汇业务,在汇率波动频繁的情况下,客户与银行签订远期结售汇协议,约定未来结汇或售汇的外汇币种、金额、期限及汇率,到期时按照该协议订明的币种、金额、汇率办理结售汇,而不是按结售汇当天的外汇牌价办理。

后期,国贸公司将继续利用锁汇等银行工具,提高业务操作水平,锁定成本,防范汇率风险,争取效益最大化。


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