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金融衍生工具的风险暴露与监控框架设计
引用本文:张元萍.金融衍生工具的风险暴露与监控框架设计[J].现代财经,2006,26(1):23-25.
作者姓名:张元萍
作者单位:天津财经大学金融系,天津300222
摘    要:分析金融衍生工具的活动特点,观察金融衍生工具的风险暴露,研究金融衍生工具各种监控方式的内涵、主要操作手法、适用的范围以及可供选择的对策,有助于建立起全球性金融衍生工具监控框架设计体系。

关 键 词:金融衍生工具  风险暴露  监控框架设计
文章编号:1005-1007(2006)01-0023-03
收稿时间:2004-11-14
修稿时间:2004年11月14

The Venture Exposure of Financial Derivatives and the Design of Supervising and Controlling Framework
Zhang Yuanping.The Venture Exposure of Financial Derivatives and the Design of Supervising and Controlling Framework[J].Modern Finance and Economics(Journal of Tianjin University of Finance and Economics),2006,26(1):23-25.
Authors:Zhang Yuanping
Abstract:Based on analyzing the operational characteistics of financial derivatives this paper examines the venture expousure of the financisl derivatives, puts forward the connotation, main applicable method, applicable category and alternative countermeasures and suggestions of all the supervising and controlling methods of financial derivatives so as to effectively set up the global supervising and controlling framework deaign system of financial derivatives.
Keywords:Financial Derivatives  Venture exposure  design of Supervising and Controlling Framework
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