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fx-risk-master

外汇风险管理主流程 — 整合外汇敞口管理、对冲策略执行、敞口超限处理与模型失效应对。 适用情形:外汇敞口监控周期(每日/每周)或重大汇率波动事件触发时执行, 整合 fx-exposure-calculation、fx-forecast-analysis、fx-hedging-strategy 和 fx-deal-execution, 输出完整的外汇风险管理报告与对冲执行清单。 核心:敞口测算 → 情景分析 → 对冲策略 → 执行监控 → 模型校准。

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Source facts

Repository
williamcorrea23/sap-router-skill
Last source activity
July 21, 2026 at 06:34
Detected SKILL.md language
Chinese
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