With the rapid development of the financial market, many companies have participated in financial investment. However, financial investment tends to coexist with both income and risk. Market players will inevitably face various risks in the process of chasing investment income. Therefore, the most important thing for an enterprise to carry out its financial investment is to control the investment risks and formulate effective measures so as to minimize the risks. Based on the analysis of China's financial market conditions and financial investment risks, this article studies the causes of financial product risks and proposes related risk prevention and control measures.

With the rapid development of the financial market, many companies have participated in financial investment. However, financial investment tends to coexist with both income and risk. Market players will inevitably face various risks in the process of chasing investment income. Therefore, the most important thing for an enterprise to carry out its financial investment is to control the investment risks and formulate effective measures so as to minimize the risks. Based on the analysis of China's financial market conditions and financial investment risks, this article studies the causes of financial product risks and proposes related risk prevention and control measures.

RESEARCH ON FINANCIAL INVESTMENT RISK ANALYSIS AND CONTROL

ZHANG, YING
2017/2018

Abstract

With the rapid development of the financial market, many companies have participated in financial investment. However, financial investment tends to coexist with both income and risk. Market players will inevitably face various risks in the process of chasing investment income. Therefore, the most important thing for an enterprise to carry out its financial investment is to control the investment risks and formulate effective measures so as to minimize the risks. Based on the analysis of China's financial market conditions and financial investment risks, this article studies the causes of financial product risks and proposes related risk prevention and control measures.
ENG
With the rapid development of the financial market, many companies have participated in financial investment. However, financial investment tends to coexist with both income and risk. Market players will inevitably face various risks in the process of chasing investment income. Therefore, the most important thing for an enterprise to carry out its financial investment is to control the investment risks and formulate effective measures so as to minimize the risks. Based on the analysis of China's financial market conditions and financial investment risks, this article studies the causes of financial product risks and proposes related risk prevention and control measures.
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Utilizza questo identificativo per citare o creare un link a questo documento: https://hdl.handle.net/20.500.14240/143207