Paper Title:
The Risks Control Methods of Financial Derivative Instruments
  Abstract

In this article, it quantizes the extended model of risk control system, using different stages, and supervision is the number and type of relative lack of financial products in China, therefore, it is established as a risk management mechanism in China - the financial institutions to eventually. It provides the theory basis for future development, more feasible operation strategy financial derivatives markets, to achieve a reasonable investment and risk control target as -. This article is: it provides the operability of risk control in the macroscopic and microscopic utilization strategy, unswervingly encourage, monitoring and enforcement of financial derivatives.

  Info
Periodical
Advanced Materials Research (Volumes 171-172)
Edited by
Zhihua Xu, Gang Shen and Sally Lin
Pages
710-714
DOI
10.4028/www.scientific.net/AMR.171-172.710
Citation
W. Song, "The Risks Control Methods of Financial Derivative Instruments", Advanced Materials Research, Vols. 171-172, pp. 710-714, 2011
Online since
December 2010
Authors
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Price
$32.00
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