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金融衍生工具风险管理研究
引用本文:燕文斌. 金融衍生工具风险管理研究[J]. 长春工程学院学报(社会科学版), 2009, 10(2): 58-60
作者姓名:燕文斌
作者单位:吉林省高等级公路建设局,长春,130021
摘    要:基于金融衍生工具自身特性的风险成因分析,论述了导致衍生工具风险顺周期扩张的制度因素及特点,指出企业在运用衍生工具进行风险管理的同时需要保持应有的质疑精神和谨慎的投资态度。

关 键 词:金融衍生工具  金融风险  风险管理

Research on financial derivatives systemic risk management
YAN Wen-bin. Research on financial derivatives systemic risk management[J]. Journal of Changchun Institute of Technology(Social Science Edition), 2009, 10(2): 58-60
Authors:YAN Wen-bin
Affiliation:Jilin Provincial Higher Class HighwayConstruction Bureau;Changchun 130021;China
Abstract:Analysis based on the financial derivation tool's own characteristic risk,and discusse the risks of derivative instruments which caused the expansion of cis-cycle factors and the system characteristics,pointing out that the use of derivatives in risk management should have questioned the need to maintain the spirit and attitude of prudent investment.
Keywords:financial derivation instruments  financial risk  risk management  
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