论文部分内容阅读
在国际金融市场迅速发展的今天,人们对衍生金融工具的需求刺激使衍生金融工具也有着前所未有的高速发展。由于衍生金融工具具有高杠杆、复杂性等特点,人们在利用衍生金融工具进行风险规避和投机的同时也应当注重对于衍生金融工具的风险管理的要求。因此本文就衍生金融工具的特点,分析了衍生金融工具进行风险管理的要点,希望能够使人们加强对衍生金融工具风险管理的认识和重视。
The rapid development of international financial markets today, people’s demand for derivative financial instruments to stimulate the derivatives financial instruments has also been an unprecedented rapid development. Due to the high leverage and complexity of derivative financial instruments, people should pay more attention to the risk management of derivative financial instruments while using derivative financial instruments to evade and speculate risks. Therefore, based on the characteristics of derivative financial instruments, this article analyzes the essentials of risk management of derivative financial instruments, hoping to make people more aware of and emphasis on the risk management of derivative financial instruments.