外汇期货 英语怎么说 外汇期货 英语怎么说怎么写
银行里面都有哪些部门啊每个部门的英语怎么说
部门名称;
Board of Directors董事会
President行长
Executive Office经理办公室
Personnel Dept.人事部
General Affairs Dept.总务部
Co-ordination& Planning Dept.综合计划部
International Dept.国际业务部
Overseas Branches Dept.海外部
Foreign Exchange Dept.外汇资金部
First Credit Dept.信贷一部
Second Credit Dept.信贷二部
Accounting Dept.财会部
International Clearing Dept国际清算部
Banking Dept.营业部
Credit Card Dept.信用卡部
General Auditing Dept.总稽核室
Computer Center电脑部
Training Management Dept.教育部
Institute of International Finance国际金融研究所
Trust and Consultation Co.信托咨询公司
另外,职位名称:
金融/保险/银行 Banking& Financial Services/ Insurance
证券/期货/外汇经纪人 Stock Broker
投资/理财顾问 Investment Advisor
证券分析师 Securities Analyst
投资/基金项目经理 Investment Manager
融资经理/融资主管 Treasury Manager/Supervisor
融资专员伍虚 Treasury Specialist
行长/副行长 President/Vice-President/Branch Manager
资产评估/分析 Assets Valuation/Analyst
风险控制 Risk Management
进出口/信用证结算 Trading/ LC Officer
清算人员 Settlement Officer
外汇主管 Foreign Exchange Supervisor
高级客户经理/客户经理 Senior Relationship Manager
客户主管/专员 Relationship Supervisor/Executive
信贷/信用调查/分析人员 Loan/Credit Officer
银行柜台出做枣纳 Bank Teller
统计员 Statistician
银行卡、电子银行业务推广 Credit Card/E-banking business Develop
保险精算师 Actuary
保险核保/理赔 Adjuster
保险代理/财务规划师/储备经理人腔胡燃 Insurance Agent/Financial Planner
保险内勤 Insurance Office Staff
请教几个有关金融的专业术语英语怎么说
全给你好了,你可能以后会用到做竖饥
澳大利亚币 AUSTRALIAN DOLLAR(AUD)
保本保息准备 RESERVE FOR INTEREST& PRINCIPAL
保兑银行 CONFIRMING BANK
保付支票 CERTIFIED CHECKS
保管品 PROPERITY UNDER CUSTODY
保管有价证券 SECURITIES UNDER CUSTODY
保留盈余 RETAIN EARNINGS
保证金交易 MARGIN TRADINGS
保证款项 GUARANTEE
保证品 GUARANTEE EFFECTS
保证责任准备 RESERVE FOR GUARANTEE REPAYMENT
备抵呆帐 ALLOWANCE FOR BAD DEBTS
备抵呆帐 ALLOWANCE FOR BAD DEBTS
备抵损失 RESERVE FOR LOSS ON
备抵折纯返旧 ACCUMULATED DEPRECIATION
本期损益 PROFIT OR LOSS-CURRENT PERIOD
本行支票 CASHIER'S CHECKS
比利时法朗 BELGIAN FRANC(BEF)
不动产投资 INVESTMENTS IN REAL ESTATE
不动产投资损益 GAIN ON INVESTMENT-REAL ESTATE
不可转让定存单 NON-NEGOTRABLE CERTIFICATE OF DEPOSIT
差额准备 AREA ASSETS AND LIABILITIES
拆放同业 CALL LOANS TO BANKS
长期担保放款 LOGN-TERM LOANS SECURED
长期放款 LONG-TERM LOANS
敞口(头寸) POSITION
承兑汇票 ACCEPTANCE DRAFTS
承受担保品 PLEDGED PROPERTIES TAKE OVER
承销有价证券 CONSIGNMENT SECURTIES
初级(发行)市场 PRIMARY MARKET
出口商 EXPORTER
出口纤好押汇 OUTWARD DOCUMENTARY BILLS
催收款项 OVER-DUE LOANS
存本取息储蓄存款 INTEREST DRAWING SAVINGS DEPOSITS
存出保证金 GUARANTEE DEPOSITS
存出典权 COLLATERAL FORECLOSED
存放同业 DUE FROM BANKS
存放央行 DUE FROM CENTRAL BANK
存款不足 NOT SUFFICIENT FUND
存款准备金 RESERVE REQUIREMENT
存款利率 RATE ON DEPOSIT
存入保证金 GUARANTEE DEPOSITS AND MARGINS RECEIVED
存入典权 MORTGAGE FUNDS DEPOSITED IN
次级(流通)市场 SECONDARY MARKET
代理买入房地产 LAND AND BUILDING BOUGHT
代理买入期证券 FORWARD SECURITIES BOUGHT FOR CUSTOMERS
代理卖出房地产 BUILDING AND LAND SOLD FOR CUSTOMERS
代理卖出期证券 COLLECTION FOR CUSTOMERS-FORWARD SECURITIES SOLD
代理期付款项 COLLECTION FOR CUSTOMERS-CONTRACT PAYMENTS
代理期收款项 ACCOUNTS RECEIVABLE UNDER FORWARD CONTRACTS FOR
CUSTOMERS
代理行 CORRESPONDENT BANK
代售旅行支票 CONSIGNMENT TRAVELLERS' CHECKS
待抵销追索债权 CONTRA ACCOUNT-CLAIMED DEBTS
待交换票据 CHECKS FOR CLEARING
待整理资负 RESERVE FOR VALUATION OF AFFECTED
担保透支 OVERDRAFTS SECURED
丹麦币 DANISH KRONE(DKK)
电汇 TELEGRAPHIC TRANSFER(T/T)
店头市场 OVER THE COUNTER(OTC)
掉期交易 FOREIGN EXCHANGE SWAP
递延收益 DEFERRED REVENUE
定期存单 CERTIFICATE OF DEPOSIT
定期存款 TIME DEPOSITS
多头(买超) LONG POSITION
短期担保放款 SHORT-TERM LOANS SECURED
短期放款 SHORT-TERM LOANS
兑换 EXCHANGE ACCOUNTS
兑换损失准备 RESERVE FOR FOREIGN EXCHANGE LOSS
兑换损益 GAIN ON EXCHANGE
法定公积 LEGAL SURPLUS
房屋及建筑 BUILDINGS AND STRUCTURES
风险管理 RISK MANAGEMENT
风险值 VALUE-AT-RISK
分期付款 INSTALLMENT
浮动利率存单 FLOATING RATE CD
付款指令 PAYMENT ORDER
个人贷款 PERSONAL LOAN
杠杆效果 LEVERAGE EFFECT
公开市场操作 OPEN MARKET OPERATIONS
公开市场政策 OPEN MARKET POLICY
公司债 CORPORATED BONDS
共同基金 MUTUAL FUND
固定资产增值公积 FIXED ASSETS APPRAISAL SURPLUS
固定利率存单 FIXED RATE CD
国库券 TREASURY BILLS
国民生产毛额 GROSS NATRONAL PRODUCT
海外共同基金 OVERSEAS MUTUAL FUND
荷兰币 DUTCH GUIDER(NLG)
划线支票 CROSS CHECKS
汇出汇款 REMITTANCE AND DRAFTS ISSUED
汇出汇款 OUTWARD REMITTANCE
汇款人 REMITTER
汇款银行 REMITTING BANK
汇票 BILLS OF EXCHANGE
汇入汇款 INWARD REMITTANCE
活期储蓄存款 DEMAND SAVINGS DEPOSITS
活期存款 DEMAND DEPOSITS
货币交换 CURRENCY SWAPS(CS)
货币利率交换 CROSS CURRENCY SWAPS(CCS)
货币市场 MONEY MARKET
基本汇率 BASIC RATE
基本利率 PRIME RATE
机械设备 MACHINERY EQUIPMENT
即期汇率 SPOT RATE
即期汇票 SIGHT DRAFT
即期外汇交易 SPOT EXCHANGE TRANSACTION
记名汇票 REGISTERED BILLS
加币 CANADIAN COLLARS(CAD)
交叉汇率 CROSS RATE
交换交易 SWAPS
交换期权 SWAPTIONS
交通及运输设备 TRANSPORTATION AND COMMUNICATION EQUIPMENT
交易标的资产 UNDERLYING ASSETS
交易汇(价)差 SPREAD
交易商 TRADER
结汇 SETTLEMENT OF FOREIGN EXCHANGE
金融市场 FINANCIAL MARKET
金融债券 BANKING BONDS
进口商 IMPORTER
进口押汇 INWARD DOCUMENTRAY BILLS
禁止背书转让 NOT NEGOTIABLE
经纪商 BROKER
净资产价值 NET ASSET VALUE
捐赠公积 DONATION SURPLUS
开办责 ORGANIZATION EXPENSES
开证银行 ISSUING(OPENING) BANK
库存外币 FOREIGN CURRENCY ON HAND
库存现金 CASH ON HAND
可转让定存单 NEGOTIABLE CERTIFICATE OF DEPOSIT
空头(卖超) SHORT POSITION
扣帐通知 DEBIT ADVICE
追索债权 CLAIM DEBTS
准备比率 RESERVE RATIO
租赁权益 RENTAL UNDER LEASEHOLD
资本 CAPITAL
资本适足率 CAPITAL ADEQUACY RATIO(CAR)
资本市场 CAPITAL MARKET
资产负债表内交易 ON-BALANCE-SHEET
资产负债表外交易 OFF-BALANCE-SHEET
作业风险 OPERATIONAL RISK
累积亏损 ACCUMULATED DEFICITS
累积盈余 UNDIVIDED PROFITS
利率交换 INTEREST RATE SWAP(IRS)
利率期权 INTEREST RATE OPTIONS
利率期权 INTEREST RATE OPTIONS
利率上下限 COLLARS
利率上限 CAPS
利率下限 FLOORS
利息收入 INTEREST RECEIVED
联行往来 INTER-BRANCH ACCOUNTS
零存整付储蓄存款 CLUB SAVINGS DEPOSITS
流动性风险 LIQUIDITY RISK
伦敦银行同业拆放利率 LONDON INTERBANK OFFERING RATE(LIBOR)
履约价格 EXCERCISE PRICE
马克 DEUTSCHE MARKS(DEM)
买超 OVER BOUGHT
买卖票券损益 GAIN ON TRADING BILLS AND SECURITIES
买入承兑汇票 ACCEPTANCE PURCHASED
买入定期存单 CERTIFICATE OF REPOSIT PURCHASED
买入汇款 BILLS PURCHASED
买入汇率 BUYING RATE
买入期权 CALL OPTIONS
买入期证券 FORWARD SECURITIES BOUGHT
买入商业本票 COMMERCIAL PAPERS PURCHASED
买入有价证券 SECURITIES PURCHASED
买入远期外汇 FORWARD EXCHANGE BOUGHT
卖超 OVER SOLD
卖出汇率 SELLING RATE
卖出期权 PUT OPTIONS
卖出期证券 FORWARD SECURITIES SOLD
卖出运期外汇 FORWARD EXCHANGE SOLD
贸易汇票 TRADE BILLS
美元 US DOLLARS(USD)
名目利率 NOMINAL RATE OF INTEREST
密押 TEST KEY
年息 ANNUAL RATE
内部往来 INTER-DEPARTMENTAL ACCOUNTS
挪威币 NORWEGIAN KRONE(NOK)
票汇 DEMAND DRAFT(D/D)
平盘 SQUARE
其他长期投资 OTHER LONG-TERM INVESTMENT
其他递延费用 OTHER DEFERRED CHARGES
其他设备 OTHER EQUIPMENT
其他应付款 OTHER PAYABLES
其他应收款 OTHER ACCOUNT RECEIVABLE
其他预付款 OTHER PREPAYMENTS
其他预收款 OTHER ACCOUNTS COLLECTED IN ADVANCE
企业投资 INVESTMENT IN ENTERPRISE
企业投资损益 GAIN ON INVESTMENT-ENTERPRISES
期付款项 ACCOUNTS PAYABLE UNDER FORWARD CONTRACTS
期货交易 FURTURES
期满日 EXPIRATION DAY
期权买方 HOLDER
期权卖方 WRITER
期收款项 ACCOUNTS RECEIVABLE UNDER FORWARD CONTRACTS
前年度损益调整 PROFIT OR LOSS ADJUST ACCOUNT-PREVIOUS YEAR
潜在风险 POTENTIAL RISK
清偿银行 REIMBURSING BANK
清算银行 CLEARING BANK
权利金 PREMIUM
入帐通知 CREDIT ADVICE
瑞典币 SWEDISH KRONE(SEK)
瑞士法朗 SWISS FRANC(CHF)
日息(日拆) DAILY RATE
日元 JAPANESE YEN(JPY)
融通汇票 FINANCE BILLS
商品标的物 UNDERLYING
商品交换 COMMODITY SWAPS
商业本票 COMMERCIAL PAPERS
商业汇票 COMMERCIAL BILLS
上期损益 PROFIT OR LOSS-PREVIOUS PERIOD
实际利率 ACTUAL RATE OF INTEREST
实质利率 REAL RATE OF INTEREST
市场风险 MARKET RISK
市场做成者 MARKET MAKER
收款人 PAYEE
收款银行 PAYING BANK
收入公积 PAID-IN SURPLUS
手续费收入 COMMISSION RECEIVED
受托承销有价证券 SECURITIES CONSIGNMENT IN
受托代放款 LIABILITIES ON JOINT LOANS
受托代放款 LIABILITIES ON JOINT LOANS
受托代收保险费 COLLECTION FOR CUSTOMERS INSURANCE PREMIUMS
受托代收房地租 COLLECTION FOR CUSTOMERS-RENT
受托代收款 COLLECTION PAYABLE FOR CUSTOMERS
受托代收款 COLLECTIONS PAYABLE FOR CUSTOMERS
受托代售旅行支票 TRAVELLERS'CHECKS CONSIGNMENT IN
双重货币存款 DUAL-CURRENCY DEPOSITS
套利 ARBITRAGE
特别公积 SPECIAL SURPLUS
贴现 BILLS DISCOUNTED
通知银行 ADVISING BANK
同业拆放 CALL LOANS FROM BANKS
同业存款 DUE TO BANKS
同业融资 FUND BORROWED FROM BANKS
同业透支 BANK'S OVERDRAFTS
透支 OVERDRAFTS
透支同业 OVERDRAFT ON BANKS
土地 LAND SITE FOR BUILDINGS
外币定期存款 TIME DEPOSITS-FOREIGN CURRENCY
外币活期存款 DEMAND DEPOSITS-FOREIGN CURRENCY
外币期权 CURRENCY OPTIONS
外汇避险 HEDGE
外汇部位(头寸) FOREIGN EXCHANGE POSITION
外汇定期存款 TIME DEPOSITS-FOREIGN EXCHANGE
外汇管制 EXCHANGE RESTRICTION
外汇活期存款 DEMAND DEPOSITS-FOREIGN EXCHANGE
外汇交易中心 FOREIGN EXCHANGE CENTER
外汇准备 FOREIGN EXCHANGE RESERVE
外汇抛补 COVER
外汇市场 FOREIGN EXCHANGE MARKET
外汇投机客 SPECULATOR
外汇银行 FOREIGN EXCHANGE BANK
退票 RETURN CHECK
托办往来 TRUST ACCOUNTS UNDER CONTRACTS
未收资本 SUBSCRIBED CAPITAL RECEIVABLE
未摊销投资溢价 UNAMORTIZED PREMIUM
未摊销投资折价 UNAMORTIZED DISCOUNT
西班牙币 SPANISH PESETA(ESP)
无记名汇票 BEARER BILLS
销帐 ACCOUNT RECOCILEMENT
消费性贷款 CONSUMPTION LOANS
新加坡银行同业拆放利率 SINGAPORE INTERBANK OFFERING
RATE(SIBOR)
信汇 MAIL TRANSFER(M/T)
信托资产 TRUST ASSETS
信用风险 CREDIT RISK
信用状款项 LETTERS OF CREDIT
信用状申请人 APPLICANT
信用状受益人 BENEFICIARY
信用证 LETTER OF CREDIT(L/C)
行员定期储蓄存款 STAFF TIME SAVINGS REPOSITS
行员活期储蓄存款 STAFF DEMAND SAVINGS DEPOSITS
押汇银行 NEGOTIATING BANK
央行存款 DUE TO CENTRAL BANK
央行放款转融资 LOANS TRANSFERRED TO CENTERAL BANK
央行其他融资 FUNDS BORROWED FROM CENTRAL BANK-OTHERS
央行贴现转融资 BILLS REDISCOUNTED WITH CENTRAL BANK
衍生金融产品 DERIVATIVES
意大利里拉 ITALIAN LIRA(ITL)
意外损失准备 RESERVE FOR CONTINGENCIES
银行承兑汇票 BANKERS' ACCEPTANCE DRAFTS
银行费用 BANKING CHARGES
银行公会 BANKER'S ASSOCIATION
银行汇票 BANKERS' BILLS
英镑 BRITISH POUND(GBP)
应(未)收代收款 COLLECTION RECEIVABLE FOR CUSTOMERS
应付保管有价证券 SECURITIES UNDER CUSTODY FOR CUSTOMERS PAYABLE
应付代收款 ACCOUNTS PAYABLE COLLECTED FOR CUSTOMERS
应付费用 EXPENSES ACCRUED
应付股利 DIVIDERDS PAYABLE
应付利息 ACCRUED INTEREST PAYABLE
应付票据 NOTES PAYABLE
应付所得税 ACCRUED INCOME TAX PAYABLE
应付帐款 ACCOUNTS PAYABLE
应解汇款 REMITTANCE OUTSTANDING
应收保证款项 CUSTOMERS' LIABILITIES UNDER GUARANTEES
应收承兑票款 CUSTOMERS' LIABILITIES UNDER ACCEPTANCE
应收代放款 JOINT LOANS
应收代收保险费 INSURANCE PREMIUM RECEIVABLE FOR CUSTOMERS
应收代收房租 RENT RECEIVABLE FOR CUSTOMERS
应收利息 ACCRUED INTEREST
应收票据 NOTES RECEIVABLE
应收收益 INCOME RECEIVABLE
应收信用状款项 CUSTOMERS' LIABILITIES UNDER LETTERS OF CREDIT
应收帐款 ACCOUNTS RECEIVABLE
盈亏拨补 PROFIT OR LOSS APPROPRIATION
有权签章人 AUTHORIZED SIGNATURE
预付出口结汇款 ADVANCE SURRENDER OF EXPORT EXCHANGE
预付费用 PREPAID EXPENSES
预付股利 PREPAID DIVIDEND
预付利息 PREPAID INTEREST
预付所得税 PREPAID INCOME TAX
预收资本 CAPITAL RECEIVED IN ADVANCE
预收利息 INTEREST COLLECTED IN ADVANCE
预收收益 INCOME COLLECTED IN ADVANCE
预算赤字 BUDGET DEFICIT
员工退休金准备 RESERVE FOR STAFF RETIREMENT
远期汇率 FORWARD RATE
远期外汇交易 FORWARD EXCHANGE TRANSACTION
月息 MONTHLY RATE
运期汇票 USANCE DRAFT
运期交易 FORWARDS
运期利率协议 FORWARD RATE AGKEEMENT(FRA)
运送中现金 CASH IN TRANSIT
在建工程 CONSTRUCTION WORK IN PROGRESS
暂付款项 CLEARING ACCOUNT
暂收款项 CLEANING ACCOUNT
债券 BONDS
债券发行费用 BOND ISSUANCE EXPENSES
债券溢价 BOND PREMIUM
债券折价 DISCOUNT ON BONDS
展期定存单 ROLLOVER CD
帐户行 DEPOSITORY BANK
整存零付储蓄存款 ANNUITY SAVINGS DEPOSITS
整存整付储蓄存款 TIME SAVINGS DEPOSITS
证券经纪收入 INCOME FROM BROKER'S OPERATIONS
证券投资 INVESTMENTS IN SECURITIES
芝加哥期权交易所 CHICAGO BOARD OPTIONS EXCHANGE(CBOE)
支票存款 CHECKING ACCOUNTS
执行价格 STRIKE PRICE
质借 HYPOTHECATION
中期担保放款 MEDIUM-TERM LOANS SECURED
中期放款 MEDIUM-TERM LOANS
中心汇率 CENTRAL RATE
主合同 MASTER CONTRACT
重贴现率 RE-DISCOUNT RATE
重置成本 REPLACEMENT COST
周转金 PETTY CASH
关于外汇期货的英语翻译
expiry cycle期货周颤消歼期
delivery date发货日期
外汇期货,又称为货币期货,是一种在最终交易日按桥备照当时的汇率将一种货币兑换成另外一种货币的茄冲期货合约。一般来说,两种货币中的一种货币为美元,这种情况下,期货价格将以“x美元每另一货币”的形式表现。一些货币的期货价格的表示形式可能与对应的外汇现货汇率的表示形式不同。
外汇操作英文怎么说
外汇操作的英文要怎么表达呢?下面由懂视小编为大家整理的外汇操作相关的专有名词英语,希望大家喜欢!
外汇操作英文表达
Foreignexchangeoperation
外汇交易专业名词中英对照版
外汇交易是指买入一种货币并且同时卖出另一种货币的交易。外汇市场是全世界最大孙和铅的金融市场,其日交易额超过1.9兆美元。交易货币例如欧元/美元和美元/日元。大多数货币交易均涉及到“主要货币”(包括美元,欧元,日元,英镑,瑞士法郎,加元和澳元)。
不同于其它金融市场,外汇市场没有中央交易所。借助于银行,公司和个人交易者的电子网络,外汇市场每天24小时均运行。每天外汇交易从悉尼开始,然后依次移到东京,伦敦和纽约。主要券商包括商业银行,投资银行,外汇期货交易者及注册外汇券商。
forexbasics
ForeignExchange
Foreignexchangetradingisthesimultaneousbuyingofonecurrencyandsellingofanother.Theforeignexchangemarket(ForexorFX)isthelargestfinancialmarketintheworldwithadailyturnoverofover.9trillion.ExamplesofcurrencytradingpairsareEuro/USDollar(EUR/USD)andUSDollar/JapaneseYen(USD/JPY)。Mostcurrencytransactionsinvolvethe“Majors”-USDollar,Euro,JapaneseYen,BritishPound,SwissFranc,CanadianDollarandAustralianDollar.
Unlikeotherfinancialmarkets,theforeignexchangemarkethasnophysicallocationandnocentralexchange.TheForexmarketoperates24hoursadaythroughanelectronicnetworkofbanks,corporationsandindividualtraders.ForextradingbeginseverydayinSydney,thenmovestoTokyo,followedbyLondonandthenNewYork.Themajormarketmakers,ordealers,consistofthecommercialandinvestmentbanks,theexchangetradedfutures,andregisteredfuturescommissionmerchantssuchasFXSolutions.FXSolutions'dealingdeskisopen24-hoursadayfromSunday16:00ESTtoFriday16:30EST.
currency
Moneyinanyformwheninactualuseasamediumofexchange,especiallycirculatingpapermoney.
货币:任一形式的钱币,在实际使用时作为交换媒则好介,尤指流通纸币
Transmissionfrompersontopersonasamediumofexchange;circulation:
流通:作为交换媒介从一人传送到另一人;流通:
coinsnowincurrency.
现在流通的货币
Generalacceptanceoruse;prevalence:
通用:普遍接受或使用;流行:
thecurrencyofaslangterm.
一个俚语词语的通行
外汇价格
外汇市场和外汇价格主要受到资金流动影响,其次受到证券市场和债券市场的影响(例如:经济状况,政治状况,尤其是利率,货币膨胀)。这些次要影响因素往往是短暂的。
类似于其它金融产品,棚纳外汇价格包括‘买入价’和‘卖出价'.
买入价:券商买入并且交易者卖出货币的价格。
卖出价:券商卖出并且交易者买入货币的价格。
买入价与卖出价之间的差额称为“点差”.我们为交易者提供最低的交易点差,从而降低交易费用。如果您要查看所有交易货币点差,请点击这里。
货币报价通常为4个小数位,如:欧元/美元的交易价为1.2400/1.2403.大多数货币的交易最小单位是0.0001,不过,美元/日元的交易最小单位是0.01.
ForeignExchangePrices
Foreignexchangemarketsandpricesaremainlyinfluencedbyinternationaltradeflowsandinvestmentflows.TheFXmarketsarealsoinfluenced,buttoalesserextent,bythesamefactorsthatinfluencetheequityandbondmarkets:economicandpoliticalconditionsespeciallyinterestrates,inflation,andpoliticalinstability.Thosefactorsusuallyhaveonlyashort-termimpact,whichmakesForexattractiveasitofferssomeofthediversificationnecessarytoprotectagainstadversemovementsintheequityandbondmarkets.{RM:NextPage}
ForeignExchangeprices,orquotes,includea“Bid”and“Ask”similartootherfinancialproducts:
Bid:PriceatwhichDealeriswillingtoBuyandTraderscanSellCurrency
Ask:PriceatwhichDealerwillSellandTraderscanBuyCurrency
ThedifferencebetweentheBidandAskiscalledthe“Spread”,whichistheTrader'scostofthetransaction.FXSolutionsoffersTradersthenarrowestspreadsintheretailForexindustry,therebyloweringtransactioncosts.FormoreinformationontheSpreadsofferedbyFXSolutionsclickhere.
Currenciesareusuallyquotedtofourdecimalplaces,suchastheEuro/USDollartradingat1.2400/1.2403,withthelastdecimalplacereferredtoasapointor“pip”.Apipformostcurrenciesis0.0001ofanexchangerate;theoneexceptionistheUSD/JPYquoteinwhicheachpipisequalto0.01.
inflation
Apersistentincreaseinthelevelofconsumerpricesorapersistentdeclineinthepurchasingpowerofmoney,causedbyanincreaseinavailablecurrencyandcreditbeyondtheproportionofavailablegoodsandservices.
通货膨胀:由于市场上通货和信用货币增到超过市场所提供的商品和服务而导致的消费品价格水平的持续上涨和货币购买力的持续下跌
quote
Tostate(aprice)forsecurities,goods,orservices.
报价:报出有价证券、商品或服务项目(价格)
Spread
Adifference,asbetweentwofiguresortotals.
两数或两个数之间的差
Apositiontakenintwoormoreoptionsorfuturescontractsinordertoprofitfromachangeintheirrelativeprices.
差额点:两个或多个选择或未来合同利用改变相关的价格以赢利的点
Thedifferencebetweenthepriceaskedandbidforaparticularsecurity.
差额:特定证券的买卖报价之差
pip
Aspotoraspeck.
小点,斑点
外汇市场分析
外汇交易者通过技术面分析和基本面分析来作决定,技术面交易者通过图表,趋势线,支撑点,数学模型和其它方法来识别机会和进行交易决定。基本面交易者通过分析经济信息来识别交易机会。
AnalysisofForeignExchangeMarkets
Foreignexchangetradersbasetheirdecisionsoneithertechnicalanalysisandfundamentalanalysis.Technicaltradersusecharts,trendlines,supportandresistancelevels,mathematicalmodelsandothermeanstoidentifyopportunitiesanddrivetradingdecisions.Fundamentaltradersidentifytradingopportunitiesbyanalyzingeconomicinformation.