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在国内外经济充满不确定性的情况下,期货及其相关衍生产品作为管理国民经济风险的基础工具,其重要性进一步凸现出来进入2012年以来,全球经济依然处在下行周期,美国财政危机和欧洲债务危机迟迟得不到有效解决,全球经济未来发展中的不确定性加大。与此同时,中国经济处于战略转型的关键时期,以促消费、调结构为重点的经济结构调整以及与之相对应的诸多经济政策必然会在相当程度上影响当前大宗商品的供求结构。在国内外经济充满不确定
Given the uncertainties in domestic and foreign economies, the importance of futures and related derivatives as the basic tools for managing the national economic risks has further emerged. Since 2012, the global economy is still in a downward cycle. The U.S. fiscal crisis and Delay in the debt crisis in Europe can not be effectively resolved, the uncertainty of the future development of the global economy increased. At the same time, China’s economy is in a crucial period of strategic transformation. Economic structural adjustment with the emphasis on consumption and structural adjustment as well as its corresponding economic policies will inevitably affect the current structure of supply and demand of commodities to a considerable extent. The economy is full of uncertainty at home and abroad