几个关于金融英语的问题1.Sum up the differences between absolute and relative purchasing power parity,moreover,provide an example of each.2.How to operate the options .3.If a foreign currency is expected to decline to the U.S.dollar,do a pu
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几个关于金融英语的问题1.Sum up the differences between absolute and relative purchasing power parity,moreover,provide an example of each.2.How to operate the options .3.If a foreign currency is expected to decline to the U.S.dollar,do a pu
几个关于金融英语的问题
1.Sum up the differences between absolute and relative purchasing power parity,moreover,provide an example of each.
2.How to operate the options .
3.If a foreign currency is expected to decline to the U.S.dollar,do a put option.The option’s premiun is $0.0128/sfr,expiration date is December,strike price is $0.72/sfr.If at expiration date the market price is $0.75/sfr or $0.67/sfr,how to do the company?How much is it loss or profit?
2题是1题的提问,也是举个例子,
英语高手速速来
几个关于金融英语的问题1.Sum up the differences between absolute and relative purchasing power parity,moreover,provide an example of each.2.How to operate the options .3.If a foreign currency is expected to decline to the U.S.dollar,do a pu
1.总结出绝对购买力评价和相对购买力评价的不同,并分别举出实例.
2.如何操做期权.
3.如果一种货币相对于美元预期要贬值,购入看跌期权.期权费为$0.0128/sfr,行使时限到12月底,期权行使价是$0.72/sfr.如果在行使时限日,(标的资产的)市场价是 $0.75/sfr或$0.67/sfr,公司分别应该怎样做?不同情况下的损失和盈利分别是多少?
补充:我没看懂你说的“问题补充”是什么意思
晕,又收到楼主的短信,说是让回答,不是翻译,哪儿有这么干的.郁闷.原来怎么不说清楚?