摘要
投资风险分市场风险和公司特有风险,风险与报酬紧密相依,通过广泛占有投资市场信息,做好投资预测,运用投资多角化等方式可以尽可能规避投资风险。
Investment risks contains market risks and corporation risks. Reward is always in company with risks. People should try to avoid investment risks by widely occupying market information, making investment forecasts and diversification investment.
出处
《邵阳学院学报(社会科学版)》
2004年第5期30-31,共2页
Journal of Shaoyang University:Social Science Edition
关键词
投资风险
风险规避
投资预测
报酬率
investment risks ,return rate on risks,diversification investment