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随着经济市场的发展,出现了很多新型市场交易风险,而衍生金融工具风险作为经济市场中最为常见的风险之一,在企业运营中导致很多金融事件发生,给企业以及经济市场带来极大的损失。由于衍生金融工具在我国出现的时间并不长,对于风险也没有科学合理的管理控制机制,因此要吸收借鉴国外相关的发展经验,分析衍生金融交易风险出现的原因并加以控制,全面合理地建立起适合我国企业发展的衍生金融工具风险防范机制。
With the development of economic market, there are many new market transaction risks. Derivative financial instrument risk, as one of the most common risks in the economic market, has led to many financial incidents in the operation of the enterprise, bringing great impact to the enterprise and the economic market Loss. Derivative financial instruments do not exist in our country for a long time and there is no scientific and reasonable management and control mechanism for the risks. Therefore, it is necessary to absorb and draw lessons from the relevant foreign development experiences, analyze the causes of the risks arising from derivative financial transactions and control them comprehensively and rationally Play a suitable risk prevention mechanism for derivative financial instruments for the development of Chinese enterprises.