摘要
阐述了金融衍生工具形成的背景,分析了金融衍生工具风险产生原因并结合中国国情提出了金融衍生工具风险的防控措施.
The background of financial derivative instrument is explained.The reasons for the formation of financial derivative instrument risks are analyzed.According to China's actual conditions,the related prevention and controlling measures are put forward.
出处
《吉首大学学报(自然科学版)》
CAS
2010年第5期116-118,共3页
Journal of Jishou University(Natural Sciences Edition)
关键词
金融衍生工具
金融监管
风险控制
financial derivative instrument
financial regulation
risk control