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中国改革开放三十年来,经济高速成长,金融不断完善,衍生品市场也逐步发展起来。此次金融危机暴发后,金融衍生品最早成为被归咎的对象。中国衍生品市场还处于初级发展阶段,作为后发展国家,这就提出了危机对中国衍生品发展的启示和未来如何发展中国衍生品市场的问题。针对这一问题,本文首先分析了近二十几年来中国场内的衍生品市场发展概况,然后提出了此次金融危机对中国发展衍生品的启示,最后对中国场内衍生品市场未来发展提出了一系列建议。
In the three decades since China’s reform and opening up, the economy has been growing at a rapid pace and the financial sector has been continuously improved. The derivatives market has also been gradually developed. After the outbreak of the financial crisis, financial derivatives earliest became the object of blame. China’s derivatives market is still in the primary stage of development. As a post-development country, this puts forward the enlightenment of the crisis on the development of China’s derivatives and how to develop the Chinese derivatives market in the future. In response to this problem, this article first analyzes the general situation of the derivatives market in China in the past two decades and then proposes the implications of the financial crisis on the development of derivatives in China. Finally, it puts forward the future development of China’s derivatives market A series of suggestions.