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操作风险主要分为外部风险因素和企业内部风险因素,对这些风险因素进行全面细致的分析和研究,能够为有效减少风险造成的经济损失做好前提准备工作,但同时需要注意的是,金融投资中操作风险根据实际状况的不同具有不同的表现形式,并且需要使用不同的应对措施,才能够有效进行规避。因而需要对金融投资中操作风险进行认真对待,并积极采取有效措施进行应对和解决。本文主要从金融投资中操作风险的内涵入手,对金融投资中操作风险的主要特点和类型进行详细的分析和介绍,并提出了应对这些金融投资中操作风险的良好策略。
Operational risk is mainly divided into external risk factors and internal risk factors. Comprehensive and detailed analysis and research on these risk factors can prepare for the effective reduction of economic losses caused by risks. However, it should be noted that financial investment The operational risk in different forms according to the actual situation has different manifestations, and the need to use different measures to be able to effectively avoid. Therefore, the operational risk in financial investment needs to be taken seriously, and effective measures should be taken to deal with it. This paper starts with the connotation of operational risk in financial investment, analyzes and introduces the main features and types of operational risk in financial investment in detail, and puts forward a good strategy to deal with operational risk in these financial investments.