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연구정보

Facilitating Foreign Exchange Risk Management for Bond Investments in ASEAN+3

말레이시아 / 인도네시아 / 태국 / 필리핀 국외연구자료 기타 - ADB 발간일 : 2015-08-26 등록일 : 2015-08-28 원문링크

ASEAN+3 countries should consider measures that would make it easier for foreign investors to transact in the foreign exchange and foreign exchange hedging markets.

Bond investors typically have a long position in local currency bond markets. To manage their foreign exchange risk, they may want to hedge that exposure for a period of time. They also want to be sure they can easily convert the local currency to dollars upon the sale of a bond.

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본 페이지에 등재된 자료는 운영기관(KIEP)EMERiCs의 공식적인 입장을 대변하고 있지 않습니다.

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이전글 Building a More Robust U.S.-Philippines Alliance 2015-08-28
다음글 Annual Report 2014 - 2015 2015-08-28

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