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基金行业面临的风险:一、外部市场环境恶化去年夏季爆发的次贷危机,到目前为止还未真正见底。此次危机会带来全球范围的金融恐慌和信用紧缩。进入2008年以来,美国次级贷危机的影响还未见底,美国经济出现下滑,欧洲经济也步履蹒跚,全球经济不景气。受此影响,美国股市震荡,导致全球股市也一度受挫。随着我国金融市场对外开放
Fund industry is facing the risk: First, the deterioration of the external market environment The subprime mortgage crisis broke out last summer, so far has not really bottomed out. The crisis will bring about global financial panic and credit crunch. Since 2008, the impact of the subprime mortgage crisis in the United States has not yet bottomed out. The U.S. economy has declined. The European economy has also faltered and the global economy has been sluggish. Affected by this, the US stock market turmoil, resulting in global stock markets also suffered setbacks. With the opening of China’s financial market