摘要
本文试图对运用金融衍生工具管理风险领域的相关研究进行梳理,系统地考察企业使用衍生工具管理风险的具体动机有哪些,不同类型的风险究竟使用何种衍生工具管控,以及运用衍生工具进行风险管控的效果,借以发现当前研究中存在的问题,为今后的研究指明方向。
This paper attempts to sort out the relevant researches which are about using financial derivatives to manage risk.It investigates the specific motivations about the reasons why firms use derivatives to manage risk systematically.It also investigates what kind of derivatives is used to manage a specific type of risk and the effects of using financial derivatives to manage risk so as to find the problems existing in the current studies.Then it points out the way for further studies on it.