金融衍生品市场发展与风险控制研究
摘要:本研究探讨了金融衍生品市场风险管理的方法和工具。通过分析金融衍生品的定义和类型,以及市场的特点和功能,本文介绍了金融衍生品市场风险的来源和传播机制。在风险度量和风险管理模型方面,本文提出了一些基本准则和方法。此外,本研究还讨论了金融衍生品市场风险控制的工具和制度安排。针对金融衍生品市场风险管理所面临的挑战和难点,本研究提出了一些对策,包括加强风险监测和评估、强化风险管理制度和内部控制、加强风险教育和培训,以及加强市场监管和合规监管。本研究的结果对金融衍生品市场风险管理具有重要的参考价值。
关键词:金融衍生品、市场风险、风险管理
Abstract:This paper discusses the methods and tools of risk management in financial derivatives market. By analyzing the definition and types of financial derivatives, as well as the characteristics and functions of the market, this paper introduces the source and transmission mechanism of financial derivatives market risk. In the aspect of risk measurement and risk management model, this paper puts forward some basic criteria and methods. In addition, this study also discusses the financial derivatives market risk control tools and institutional arrangements. In view of the challenges and difficulties faced by the risk management of financial derivatives market, this study proposes some countermeasures, including strengthening risk monitoring and assessment, strengthening risk management system and internal control, strengthening risk education and training, and strengthening market supervision and compliance supervision. The results of this study have important reference value for the risk management of financial derivatives market.
Key words:Financial derivatives, market risk, risk management
目录
题目:金融衍生品市场发展与风险控制研究 1
摘要: 1
1 绪论 2
1.1研究背景和目的 2
1.2国内外研究现状 2
1.3研究内容与方法 3
2.理论基础 3
2.1金融衍生品的定义和类型 3
2.2金融衍生品市场的特点和功能 3
2.3金融衍生品市场的发展历程和趋势 4
2.4市场风险、信用风险和操作风险的定义和特点 4
2.5金融衍生品市场风险的来源和传播机制 5
3.金融衍生品市场风险控制的方法和工具 5
3.1风险度量和风险管理模型 5
3.2金融衍生品市场风险控制的基本原则和方法 6
3.3金融衍生品市场风险控制的工具和制度安排 6
4.金融衍生品市场风险管理的挑战和难点 7
4.1复杂性和不确定性 7
4.2 纠纷和法律问题 7
4.3风险传染和系统性风险 7
4.4监管和监控难题 8
5.金融衍生品市场风险管理的对策 8
5.1加强风险监测和风险评估 8
5.2强化风险管理制度和内部控制 8
5.3加强风险教育和培训 9
5.4加强市场监管和合规监管 9
结论 9
参考文献 10
致谢 10