摘要
随着经济发展和社会的不断进步,人们生活水平有了显著的提升,对于资产的管理也变得更加规范化、系统化,无论是企业还是个人都十分注重投资理财。但是投资理财具有一定的风险性,所以人们要秉持“投资有风险、理财需谨慎”的态度。如何在现有环境下做好金融理财是人们所关注的内容,本文将会针对金融波动环境下投资理财的策略等内容进行具体的分析和阐述。
with the development of economy and the continuous progress of society,people's living standards have improved significantly,and the management of assets has become more standardized and systematized.Both enterprises and individuals pay great attention to investment and financial management.However,investment and financial management have certain risks,so people must uphold the attitude that"investment is risky and financial management needs to be cautious."How to do a good job in financial management in the current environment is a matter of concern.This article will analyze and elaborate on the investment and financial management strategies in the context of financial volatility.
出处
《数码设计》
2018年第14期234-234,共1页
Peak Data Science
关键词
金融波动
环境
投资
理财
financial volatility
Environment
Investment
manage money matters