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证券投资实战中的风险控制
引用本文:柯原. 证券投资实战中的风险控制[J]. 福建行政学院福建经济管理干部学院学报, 2001, 0(2): 49-53
作者姓名:柯原
作者单位:福建行政学院财经系,福建,福州,350002
摘    要:根据实践经验的总结并结合传统投资理论,运用综合分析的方法进行大盘变盘预警的研究,并提出了从整体上控制证券投资风险的思想以及相配套的实用措施。

关 键 词:证券投资 投资技巧 风险控制 投资组合 股指期货
文章编号:1008-584X(2001)02-0049-05
修稿时间:2001-05-11

Risk Control on Securities Investment Practice
by Ke YuanFinance Department,Fujian Institute of Administration,Fuzhou ,China.. Risk Control on Securities Investment Practice[J]. Journal of Fujian School of Administration and Fujian Institute of Economics and Management, 2001, 0(2): 49-53
Authors:by Ke YuanFinance Department  Fujian Institute of Administration  Fuzhou   China.
Affiliation:by Ke YuanFinance Department,Fujian Institute of Administration,Fuzhou 350002,China.
Abstract:Through empirical observation using the traditional theory of investment, this paper employs a comprehensive analysis method to study the predictive indicators for changes in the major stocks. On this basis, the paper advances a new concept of overall control over the securities investment risk, and puts forward some practical methods in this regard.
Keywords:securities  investment  risk  control  
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