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基于市场结构的金融风险规避
引用本文:冯晓宪,王传鹏. 基于市场结构的金融风险规避[J]. 长沙理工大学学报(社会科学版), 2008, 23(1): 30-32
作者姓名:冯晓宪  王传鹏
作者单位:武汉理工大学,经济学院,湖北,武汉,430000;贵州大学,管理学院,贵州,贵阳,550003
摘    要:金融市场的结构性问题给金融市场发展带来潜在风险.它不但制约其资源调配功能的发挥,还直接影响未来的经济发展,因而风险规避意义重大.本文从我国目前金融市场存在的结构性问题入手,研究、分析金融市场潜在风险,提出风险规避的建议.

关 键 词:金融市场结构  市场风险  风险规避
文章编号:1672-934X(2008)01-0030-03
修稿时间:2007-11-20

An Analysis of Avoiding Financial Market Risk Based on Market Structures
FENG Xiao-xian,WANG Chuan-peng. An Analysis of Avoiding Financial Market Risk Based on Market Structures[J]. Journal of Changsha University of Science & Technology, 2008, 23(1): 30-32
Authors:FENG Xiao-xian  WANG Chuan-peng
Affiliation:FENG Xiao-xian1,WANG Chuan-peng2(1.School of Economics,Wuhan University of Technology,Wuhan,Hubei 430000,China,2.School of Management,Guizhou University,Guizhou,Guiyang 550003,China)
Abstract:The constitutional problem of Financial Market brings the latent risk to Financial Market development.It not only restricts the function of mixing resources,but also directly influences future economic development.Thus it is of great significance to study how to avoid the risk.Starting from the present existing constitutive problem,this article studies and analyzes latent market risk,and proposes suggestions for its avoidance.
Keywords:financial market structure  market risk  risk avoiding  
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