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  • 匿名
关注:1 2013-05-23 12:21

求翻译:公允价值变动收益/亏损净额是未到期交割的远期外汇合约按照资产负债表日的远期外汇汇率(资产负债表日至交割日的剩余月份的远期合约汇率)与当初约定的远期外汇合约汇率的变动差异计量出来的。是什么意思?

待解决 悬赏分:1 - 离问题结束还有
公允价值变动收益/亏损净额是未到期交割的远期外汇合约按照资产负债表日的远期外汇汇率(资产负债表日至交割日的剩余月份的远期合约汇率)与当初约定的远期外汇合约汇率的变动差异计量出来的。
问题补充:

  • 匿名
2013-05-23 12:21:38
Changes in fair value gains losses, net unexpired deliverable forward foreign exchange contracts in accordance with the balance sheet date the forward foreign exchange rate (the balance sheet date to the settlement date of the remaining months of forward contracts, the exchange rate) with the orig
  • 匿名
2013-05-23 12:23:18
Fair value changes in net income loss is not due to the long-term foreign exchange contracts on balance sheet in accordance with the long-term foreign exchange rate (balance sheet and cut the remaining on the long-term contracts in the exchange rate) in the exchange rate of the forward foreign excha
  • 匿名
2013-05-23 12:24:58
正在翻译,请等待...
  • 匿名
2013-05-23 12:26:38
Net fair value gains losses are not yet due for delivery in forward foreign exchange rate of forward foreign exchange contracts in accordance with the balance sheet date (balance sheet date to the delivery date of the remaining months of forward contract rate) and forward foreign exchange contracts
  • 匿名
2013-05-23 12:28:18
正在翻译,请等待...
 
 
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