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人类自进入20世纪以来,信息技术、网络技术都得到了迅猛发展,大多数企业所处的外部环境发生了前所未有的变化。这些外部环境的变化,对企业的生存、发展、成长构成了严重的威胁,面对竞争激烈的环境,企业的经济活动存在着不可预测的财务危机及风险,企业在进行财务风险管理时,除了从内部制度上加强防控措施外,本文提出一种直面风险管理的新视角—金融衍生品的运用。
Since mankind entered the 20th century, information technology and network technology have witnessed rapid development, and the external environment of most enterprises has undergone unprecedented changes. These changes in the external environment pose a serious threat to the survival, development and growth of enterprises. In the face of a highly competitive environment, there are unpredictable financial crises and risks in the economic activities of enterprises. When enterprises carry out financial risk management, From the internal system to strengthen prevention and control measures, this paper presents a new perspective facing the risk management - the use of financial derivatives.