摘要
全球性的金融危机与衍生金融交易密不可分,如何有效监管和控制衍生金融交易的风险,已经成为世界金融界的一项重要课题。通过对不同国家和地区、经济组织监管模式进行系统分析,提出优化我国衍生金融交易监管模式的解决路径。
The global financial crisis is inextricably linked to financial derivatives; therefore, how to effectively monitor and control the risks they bring becomes an important task for the world financial community. After comparing with China national conditions, financial derivatives trading regulation and analyzing the status quo of existing problems, this paper attempts to provide some helpful suggestions for supervising financial derivatives in China.
出处
《贵阳学院学报(社会科学版)》
2010年第1期53-56,共4页
Journal of Guiyang University:Social Sciences
关键词
衍生金融交易
监管
金融危机
Financial Derivatives Transaction
Regulation
Financial Crisis