Management of the Foreign Exchange Rate Risk in a Chinese Company

dc.contributor.advisorHlaváček, Karel
dc.contributor.authorChen, Xuexin
dc.contributor.refereeNovotný, Josef
dc.date.accepted2018-05-28
dc.date.accessioned2018-06-26T08:02:35Z
dc.date.available2018-06-26T08:02:35Z
dc.date.issued2018
dc.description.abstractEncouraged by the needs of enterprises' transformation and upgrade and the “going out” policy of the country, more and more Chinese enterprises are entering the global markets, however, whether it is an overseas acquisition or the capital operation, enterprises are facing with the foreign exchange risk. They have to start with the management of the foreign exchange risk, the significant influence of government and domestic rules also must be taken into consideration. The aim of this thesis is to analyze and manage the foreign exchange exposure of the chosen company in China (HUAWEI), to do this, it is necessary to research the foreign exchange rate, foreign exchange system and foreign exchange risk, and analyze the impact of foreign exchange risk on Chinese enterprises combining with China’s exchange rate system. And through case study, it will be shown that how to manage the exposure of foreign exchange, so that Chinese enterprises can make better financial managements with foreign exchange risk. The first chapter is introduction, the aim of this thesis and contents of each chapter will be explained in it. The second chapter is the theoretical part, including definition and development of exchange rate, types of exchange rate system, foreign exchange risk and how to manage it. China’s exchange rate system will be introduced in the third chapter, showing how it changes and reforms in different periods, and what characteristics it has. The fourth chapter is application part of foreign exchange rate risk and its management in Chinese company, in this chapter, we will briefly introduce the company, such as its history, corporate affairs, and achievements. Then we will use this company as our case object to analyze its foreign exchange exposure and its management. In the last part of this chapter, some methods and suggestions will be put forward about how to manage the foreign transaction exposure for this company. Finally, we will make a conclusion in the fifth chapter.en
dc.description.abstractEncouraged by the needs of enterprises' transformation and upgrade and the “going out” policy of the country, more and more Chinese enterprises are entering the global markets, however, whether it is an overseas acquisition or the capital operation, enterprises are facing with the foreign exchange risk. They have to start with the management of the foreign exchange risk, the significant influence of government and domestic rules also must be taken into consideration. The aim of this thesis is to analyze and manage the foreign exchange exposure of the chosen company in China (HUAWEI), to do this, it is necessary to research the foreign exchange rate, foreign exchange system and foreign exchange risk, and analyze the impact of foreign exchange risk on Chinese enterprises combining with China’s exchange rate system. And through case study, it will be shown that how to manage the exposure of foreign exchange, so that Chinese enterprises can make better financial managements with foreign exchange risk. The first chapter is introduction, the aim of this thesis and contents of each chapter will be explained in it. The second chapter is the theoretical part, including definition and development of exchange rate, types of exchange rate system, foreign exchange risk and how to manage it. China’s exchange rate system will be introduced in the third chapter, showing how it changes and reforms in different periods, and what characteristics it has. The fourth chapter is application part of foreign exchange rate risk and its management in Chinese company, in this chapter, we will briefly introduce the company, such as its history, corporate affairs, and achievements. Then we will use this company as our case object to analyze its foreign exchange exposure and its management. In the last part of this chapter, some methods and suggestions will be put forward about how to manage the foreign transaction exposure for this company. Finally, we will make a conclusion in the fifth chapter.cs
dc.description.department154 - Katedra financícs
dc.description.resultvelmi dobřecs
dc.format.extent2258785 bytes
dc.format.mimetypeapplication/pdf
dc.identifier.otherOSD002
dc.identifier.senderS2751
dc.identifier.thesisCHE0025_EKF_N6202_6202T010_2018
dc.identifier.urihttp://hdl.handle.net/10084/127737
dc.language.isoen
dc.publisherVysoká škola báňská - Technická univerzita Ostravacs
dc.rights.accessopenAccess
dc.subjectForeign exchange rateen
dc.subjectexchange rate systemen
dc.subjectforeign exchange risken
dc.subjectmanagement of foreign exchange risken
dc.subjectHuawei companyen
dc.subjectforward exchange rateen
dc.subjectexternal hedgingen
dc.subjectinternal hedgingen
dc.subjecttransaction exposure...en
dc.subjectForeign exchange ratecs
dc.subjectexchange rate systemcs
dc.subjectforeign exchange riskcs
dc.subjectmanagement of foreign exchange riskcs
dc.subjectHuawei companycs
dc.subjectforward exchange ratecs
dc.subjectexternal hedgingcs
dc.subjectinternal hedgingcs
dc.subjecttransaction exposure...cs
dc.thesis.degree-branchFinancecs
dc.thesis.degree-grantorVysoká škola báňská - Technická univerzita Ostrava. Ekonomická fakultacs
dc.thesis.degree-levelMagisterský studijní programcs
dc.thesis.degree-nameIng.
dc.thesis.degree-programHospodářská politika a správacs
dc.titleManagement of the Foreign Exchange Rate Risk in a Chinese Companyen
dc.title.alternativeŘízení měnového rizika v čínské společnostics
dc.typeDiplomová prácecs

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