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随着我国资本市场和金融市场的不断完善与发展,衍生金融工具的创新也以惊人的速度出现,随之也给衍生金融工具风险控制与监管带来了巨大的挑战。为此,借鉴国外先进的管理经验,吸取实践工作中的教训,正确认识衍生金融工具的风险,全方位地构建我国衍生金融工具的风险管理框架,具有现实意义。
With the continuous improvement and development of China’s capital markets and financial markets, the innovation of derivative financial instruments has also taken place at an alarming rate, which has also posed a great challenge to the control and regulation of the derivative financial instruments. Therefore, drawing lessons from advanced foreign management experience, drawing lessons from practical work, correctly understanding the risks of derivative financial instruments and building a comprehensive risk management framework of derivative financial instruments in our country is of practical significance.