摘要
金融风险是一个综合概念 ,且金融风险结构非常复杂 ,所以对金融风险的管理是一项繁杂的系统工程。本文仅从利用金融衍生产品来管理金融风险的角度出发 ,剖析我国金融风险特点 ,对如何发展我国的金融衍生市场以及利用衍生工具管理我国金融风险作一思考与探索。
Financial risks management is a complicated systemetic project because of the comprehensive concept and the complez structure if financial risks.From the viewpoint of managing financial risks by derwatives,this article gives a consideration and analysis on the say of developing our finanaul derwative market and on finanual risks management by derwatives.
出处
《现代财经(天津财经大学学报)》
2000年第8期27-29,共3页
Modern Finance and Economics:Journal of Tianjin University of Finance and Economics