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Darkblanca · 2024年02月07日

He also indicated that he did not anticipate having to roll the

NO.PZ2022123002000019

问题如下:

Testa acquired a Spanish packaging company. The Spanish investment involved Testa acquiring 200,000 shares of a packaging company at EUR90 per share. He decided to fully hedge the position with a six month USD/EUR forward contract. Details of the euro hedge at initiation and three months later are provided in Exhibit 1. Three months after the purchase, the shares had increased to EUR100 each, but Testa, believing that a still higher price was likely, maintained the position. He also indicated that he did not anticipate having to roll the hedge forward at its maturity.

Exhibit 1 2009 Spot and Forward USD/EUR Quotes (Bid-Offer) and Annualized Libor Rates

If the 2009 forward hedge had been rolled forward at its maturity, using Exhibit 1, the roll yield would most likely have been:

选项:

A.

negative, but the currency change made it less negative

B.

positive, but the currency change reduced some of this effect

C.

negative, and the currency change made it even more negative

解释:

Correct Answer: C

In implementing the hedge, euros (the base currency) must be sold against the US dollar. The base currency is selling at a discount and thus would “roll up the curve” as the contract approaches maturity. Settlement of the forward contract would entail buying euros at a higher price—that is, selling low and buying high—resulting in a negative roll yield. Since the euro has appreciated by the time the hedge needs to be extended, this tends to further increase the cost of euros to settle the original contract and makes the roll yield even more negative—that is, sell low, buy even higher.

He also indicated that he did not anticipate having to roll the hedge forward at its maturity。然后又说了一句不想到期再滚仓,这里就是在告诉我们他要在三个月这个时间点滚仓。



虚空判断出来他是在这第三个月时间点滚仓?

1 个答案

pzqa31 · 2024年02月07日

嗨,从没放弃的小努力你好:


Three months after the purchase, the shares had increased to EUR100 each, but Testa, believing that a still higher price was likely, maintained the position. He also indicated that he did not anticipate having to roll the hedge forward at its maturity.


还是通过题干描述判断的,一开始签了一份六个月的合约,三个月以后,外币资产增值,然后这个人觉得后期还有增值空间,并不想买,结合之前描述的“ He decided to fully hedge the position”,还特别说明了不想到期滚仓,所以判断是在三个月这里滚仓。

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