A U.S. importer scheduled to make a payment of £100 000 in three months can hedge his foreign exchange risk by______. A.purchasing $100 000 in the spot market for deli very in three months B.selling £100 000 in the spot market for delivery in three months C.purchasing £100 000 in the forward market for delivery in three months D.selling £100 000 in the forward market for delivery in three months
A.S. B. A.purchasing C.selling D.purchasing E.selling
【参考答案】
C 解析:答案为C项。该进口商应叙做三个月的买入£100000的远期外汇买卖,以规避外汇风险。故本题选C项。