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从当前的经济形势来看,金融市场最大的问题在于市场风险,这种风险存在着客观性,不随人的主观意志而改变。自从中国加入世界贸易组织后,我国的金融机构出现了大幅度的调整,为了确保金融市场的完整性,金融风险管理已经成为金融机构经营管理的核心内容。本文论述了如何进行金融市场风险的判定,针对相关问题进行了分析探讨,并指出相应的解决措施。
Judging from the current economic situation, the biggest problem in financial markets lies in market risks. Such risks are objectivity and do not change with the subjective will of the people. Since China’s accession to the World Trade Organization, the financial institutions in our country have undergone drastic adjustments. To ensure the integrity of the financial markets, financial risk management has become the core of the financial institutions’ management. This article discusses how to judge the risk of financial market, analyzes and discusses the relevant issues, and points out the corresponding solutions.