journal6 ›› 2010, Vol. 31 ›› Issue (5): 116-118.
• Economics • Previous Articles Next Articles
Online:
Published:
Abstract: The background of financial derivative instrument is explained.The reasons for the formation of financial derivative instrument risks are analyzed.According to China’s actual conditions,the related prevention and controlling measures are put forward.
Key words: financial derivative instrument, financial regulation, risk control
WANG Da-Yun. Reasons for the Formation of Financial Derivative Instrument Risks and Control[J]. journal6, 2010, 31(5): 116-118.
0 / / Recommend
Add to citation manager EndNote|Ris|BibTeX
URL: https://zkxb.jsu.edu.cn/EN/
https://zkxb.jsu.edu.cn/EN/Y2010/V31/I5/116