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金融衍生工具与金融危机——基于风险偏好的案例分析
引用本文:门明,张秋莉. 金融衍生工具与金融危机——基于风险偏好的案例分析[J]. 石河子大学学报(哲学社会科学版), 2009, 23(5): 38-42
作者姓名:门明  张秋莉
作者单位:对外经济贸易大学国际经济贸易学院,北京100029
基金项目:国家社会科学基金资助项目《新形势下防范金融风险研究》 
摘    要:随着世界经济全球化的日益增强,金融衍生市场也取得了飞快发展,这同时加剧了我们在全球化时代所面临的金融风险。该文旨在对金融衍生工具和金融危机之间的联系予以探讨,通过对两组基于风险偏好的投资案例分析发现,尽管每一次金融危机都在一定程度上与金融衍生工具具有某种联系,但是每一次危机的引发原因和爆发形式都不相同;人们在使用金融工具时对风险的认识不够,并且不能正确使用风险管理策略。

关 键 词:衍生工具  金融危机  风险偏好  资产证券化

Financial Derivatives and Financial Crisis-Case Analysis Based on Risk Preference
MEN Ming,ZHANG Qiu-li. Financial Derivatives and Financial Crisis-Case Analysis Based on Risk Preference[J]. Journal of SHIHEZI University(Philosophy and Social Science), 2009, 23(5): 38-42
Authors:MEN Ming  ZHANG Qiu-li
Affiliation:(School of International Trade and Economics, University of International Business and Economics,Beijing 100029,China)
Abstract:With the enhancement of quickly,which makes us face much world econom more risks in y globalization, financial derivatives market has grown era of globalization. This paper aims to discuss the relationship between financial derivatives and financial crisis. After cases based on risk preference, we find that although each financial nancial derivatives, they have different causes and forms. Besides, edge of the risk when using financial instruments and can't use the so they are always beset with crises. analyzing two groups of investment crisis has some relationship with fi- investors don't have enough knowl- risk management strategy correctly,
Keywords:derivatives  financial crisis  risk preference  asset securitization
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