论文部分内容阅读
参与市场投资不仅为资金持有者创造了丰厚的收益,也为资金需求者提供了更多的集资方式,帮助其解决资金空缺等问题。随着金融市场开放性政策的广泛实施,市场证券投资活动变得更加频繁,推动了金融产业收益水平的持续增长。由于我国社会主义市场局势相对不稳定,证券投资交易活动潜在的风险性更高,若不事先预测证券投资风险则会造成严重的经济损失。本文分析了新时期证券投资风险的主要特点,对其潜在市场风险进行综合评估,提出切实恩看下的风险控制管理措施。
Participating in market investments not only creates huge profits for fund holders, but also provides more fund-raising methods for fund-raisers to help them solve such problems as lack of funds. With the extensive implementation of open market policies in the financial market, market securities investment activities have become more frequent, which has contributed to the sustained growth of the profitability of the financial industry. Due to the relatively unstable situation in the socialist market in our country, the potential risks of securities investment and trading activities are even higher. Without any prior prediction of the risks of securities investment, serious economic losses will result. This article analyzes the main characteristics of the risk of securities investment in the new era, carries on the comprehensive appraisal to its potential market risk, and puts forward the effective and graceful risk control management measures.