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相对于其他市场,衍生市场是一个新兴的市场,一些投资者对其运行还不是很熟悉。而且由于实行保证金交易,衍生市场的风险一旦发生将给参与者造成巨额的损失。因此,各国都很重视对衍生市场的监管。本节将运用前面介绍的监管的公共利益理论、监管的激励冲突理论和金融脆弱的监管理论进行分析。
Derivatives are an emerging market relative to other markets, and some are not yet familiar with their operations. And because of the implementation of margin trading, the risk of derivative markets in the event of a huge loss to participants. Therefore, all countries attach great importance to the supervision of the derivative market. This section will analyze the regulatory public interest theory, the regulatory incentive conflict theory, and the financially fragile regulatory theory described earlier.