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股指期货交易中的风险与管理 被引量:1

The Risk of Stock Index Futures and Management
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摘要 股指期货既具有金融衍生产品的一般性风险,又具有自身的特殊风险。这决定了股指期货交易中的不同主体,必须在对风险进行有效识别的基础上,制订符合自身风险承受能力的风险管理策略以达到风险可控条件下的收益最大化。
作者 张煜 付晓建
出处 《金融理论与实践》 北大核心 2003年第4期48-51,共4页 Financial Theory and Practice
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