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What should market participants do if they have a weak awareness of exchange rate risk management after bank settlement and sale of foreign exchange?
Bank settlement and sale of foreign exchange, market participants have a weak awareness of exchange rate risk management, there are the following methods:

1. Strengthen enterprise risk management education and improve the overall awareness of exchange rate risk management.

2. Under the normal condition of two-way fluctuation of RMB exchange rate, the foreign exchange derivatives are reasonably used for hedging.

3. Oppose to lock the exchange rate and spot spread as the standard, which ignores the essence of hedging.