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随着金融经济市场的飞速发展,目前在金融投资中,存在这样一种普遍现象,即一些个人或者企业为了达到某种目的而参与金融投资,由于投资本身具有一定的风险,而金融投资亦是。因而目前金融投资首要考虑的问题,则是如何采取有效的措施,化解、规避金融投资风险。因此本文对金融投资风险与应对策略进行了深入的研究,分析了金融投资的内涵与风险的类别,从而提出了金融投资中风险的有效应对策略。
With the rapid development of the financial and economic markets, there is a general phenomenon in financial investment that some individuals or enterprises are involved in financial investment for certain purposes. Since the investment itself has certain risks, the financial investment is also . Therefore, the primary consideration of the current financial investment is how to take effective measures to resolve and avoid the risk of financial investment. Therefore, this article has carried on the thorough research to the financial investment risk and the countermeasure strategy, has analyzed the connotation and the risk category of the financial investment, and has put forward the effective countermeasure strategy of the risk in the financial investment.