外匯操作英文怎么說(shuō)
外匯操作的英文要怎么表達(dá)呢?下面由學(xué)習(xí)啦小編為大家整理的外匯操作相關(guān)的專有名詞英語(yǔ),希望大家喜歡!
外匯操作英文表達(dá)
Foreign exchange operation
外匯交易專業(yè)名詞中英對(duì)照版
外匯交易是指買入一種貨幣并且同時(shí)賣出另一種貨幣的交易。 外匯市場(chǎng)是全世界最大的金融市場(chǎng), 其日交易額超過(guò)1.9兆美元。 交易貨幣例如歐元/美元和美元/日元。 大多數(shù)貨幣交易均涉及到“主要貨幣”(包括美元, 歐元, 日元, 英鎊, 瑞士法郎, 加元和澳元)。
不同于其它金融市場(chǎng), 外匯市場(chǎng)沒(méi)有中央交易所。 借助于銀行, 公司和個(gè)人交易者的電子網(wǎng)絡(luò), 外匯市場(chǎng)每天24小時(shí)均運(yùn)行。 每天外匯交易從悉尼開(kāi)始, 然后依次移到東京, 倫敦和紐約。 主要券商包括商業(yè)銀行, 投資銀行, 外匯期貨交易者及注冊(cè)外匯券商。
forex basics
Foreign Exchange
Foreign exchange trading is the simultaneous buying of one currency and selling of another. The foreign exchange market (Forex or FX) is the largest financial market in the world with a daily turnover of over .9 trillion. Examples of currency trading pairs are Euro/US Dollar (EUR/USD) and US Dollar/Japanese Yen (USD/JPY)。 Most currency transactions involve the “Majors” - US Dollar, Euro, Japanese Yen, British Pound, Swiss Franc, Canadian Dollar and Australian Dollar.
Unlike other financial markets, the foreign exchange market has no physical location and no central exchange. The Forex market operates 24 hours a day through an electronic network of banks, corporations and individual traders. Forex trading begins every day in Sydney, then moves to Tokyo, followed by London and then New York. The major market makers, or dealers, consist of the commercial and investment banks, the exchange traded futures, and registered futures commission merchants such as FX Solutions. FX Solutions' dealing desk is open 24-hours a day from Sunday 16:00 EST to Friday 16:30 EST.
currency
Money in any form when in actual use as a medium of exchange, especially circulating paper money.
貨幣:任一形式的錢幣,在實(shí)際使用時(shí)作為交換媒介,尤指流通紙幣
Transmission from person to person as a medium of exchange; circulation:
流通:作為交換媒介從一人傳送到另一人;流通:
coins now in currency.
現(xiàn)在流通的貨幣
General acceptance or use; prevalence:
通用:普遍接受或使用;流行:
the currency of a slang term.
一個(gè)俚語(yǔ)詞語(yǔ)的通行
外匯價(jià)格
外匯市場(chǎng)和外匯價(jià)格主要受到資金流動(dòng)影響, 其次受到證券市場(chǎng)和債券市場(chǎng)的影響(例如: 經(jīng)濟(jì)狀況, 政治狀況, 尤其是利率, 貨幣膨脹)。 這些次要影響因素往往是短暫的。
類似于其它金融產(chǎn)品, 外匯價(jià)格包括‘買入價(jià)’和‘賣出價(jià)'.
買入價(jià): 券商買入并且交易者賣出貨幣的價(jià)格。
賣出價(jià): 券商賣出并且交易者買入貨幣的價(jià)格。
買入價(jià)與賣出價(jià)之間的差額稱為“點(diǎn)差”. 我們?yōu)榻灰渍咛峁┳畹偷慕灰c(diǎn)差, 從而降低交易費(fèi)用。 如果您要查看所有交易貨幣點(diǎn)差, 請(qǐng)點(diǎn)擊這里。
貨幣報(bào)價(jià)通常為4個(gè)小數(shù)位, 如: 歐元/美元的交易價(jià)為1.2400/1.2403. 大多數(shù)貨幣的交易最小單位是0.0001, 不過(guò), 美元/日元的交易最小單位是0.01.
Foreign Exchange Prices
Foreign exchange markets and prices are mainly influenced by international trade flows and investment flows. The FX markets are also influenced, but to a lesser extent, by the same factors that influence the equity and bond markets: economic and political conditions especially interest rates, inflation, and political instability. Those factors usually have only a short-term impact, which makes Forex attractive as it offers some of the diversification necessary to protect against adverse movements in the equity and bond markets.{RM:NextPage}
Foreign Exchange prices, or quotes, include a “Bid” and “Ask” similar to other financial products:
Bid: Price at which Dealer is willing to Buy and Traders can Sell Currency
Ask: Price at which Dealer will Sell and Traders can Buy Currency
The difference between the Bid and Ask is called the “Spread”, which is the Trader's cost of the transaction. FX Solutions offers Traders the narrowest spreads in the retail Forex industry, thereby lowering transaction costs. For more information on the Spreads offered by FX Solutions click here.
Currencies are usually quoted to four decimal places, such as the Euro/US Dollar trading at 1.2400/1.2403, with the last decimal place referred to as a point or “pip”. A pip for most currencies is 0.0001 of an exchange rate; the one exception is the USD/JPY quote in which each pip is equal to 0.01.
inflation
A persistent increase in the level of consumer prices or a persistent decline in the purchasing power of money, caused by an increase in available currency and credit beyond the proportion of available goods and services.
通貨膨脹:由于市場(chǎng)上通貨和信用貨幣增到超過(guò)市場(chǎng)所提供的商品和服務(wù)而導(dǎo)致的消費(fèi)品價(jià)格水平的持續(xù)上漲和貨幣購(gòu)買力的持續(xù)下跌
quote
To state (a price) for securities, goods, or services.
報(bào)價(jià):報(bào)出有價(jià)證券、商品或服務(wù)項(xiàng)目(價(jià)格)
Spread
A difference, as between two figures or totals.
兩數(shù)或兩個(gè)數(shù)之間的差
A position taken in two or more options or futures contracts in order to profit from a change in their relative prices.
差額點(diǎn):兩個(gè)或多個(gè)選擇或未來(lái)合同利用改變相關(guān)的價(jià)格以贏利的點(diǎn)
The difference between the price asked and bid for a particular security.
差額:特定證券的買賣報(bào)價(jià)之差
pip
A spot or a speck.
小點(diǎn),斑點(diǎn)
外匯市場(chǎng)分析
外匯交易者通過(guò)技術(shù)面分析和基本面分析來(lái)作決定, 技術(shù)面交易者通過(guò)圖表, 趨勢(shì)線, 支撐點(diǎn), 數(shù)學(xué)模型和其它方法來(lái)識(shí)別機(jī)會(huì)和進(jìn)行交易決定。 基本面交易者通過(guò)分析經(jīng)濟(jì)信息來(lái)識(shí)別交易機(jī)會(huì)。
Analysis of Foreign Exchange Markets
Foreign exchange traders base their decisions on either technical analysis and fundamental analysis. Technical traders use charts, trend lines, support and resistance levels, mathematical models and other means to identify opportunities and drive trading decisions. Fundamental traders identify trading opportunities by analyzing economic information.
外匯操作英文怎么說(shuō)
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