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金融衍生品市场风险以及管理

Financial Derivatives Market Risk and Management
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摘要 近年来,衍生品市场取得了显著的发展,丰富了投资者的交易品种,满足了投资者古币风险的需求,但随之而来的还有投资者因使用不当而遭受巨大损失甚至破产的惨痛教训。金融衍生工具所构成的风险可以分为2种:投资者个体风险和系统性风险。论文认为,投资者在市场中的投资活动不当是增加市场脆弱性的重要原因之一,因此,以投资者教育为视角提出对市场风险管理的若干建议。 In recent years,the derivatives market has made remarkable development,which has enriched the trading varieties of investors and satisfied the demand of investors for the risk of ancient coins.However,the ensuing painful lessons of investors suffering huge losses or even bankruptcy due to improper use have also been brought about.The risks posed by financial derivatives can be divided into two types:individual risk and systemic risk.This paper holds that the improper investment activities of investors in the market are one of the important reasons for increasing the market vulnerability.Therefore,from the perspective of investor education,several suggestions on market risk management are put forward.
作者 刘嘉铭 LIU Jia-ming(Capital University of Economics and Business,Beijing 100007,China)
出处 《中小企业管理与科技》 2021年第19期77-78,共2页 Management & Technology of SME
关键词 金融衍生品 风险市场 风险管理 financial derivatives risk market risk management
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