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财务风险客观地存在于企业的财务管理活动中,并不同程度的影响着投资收益状况。投资者应根据财务风险与报酬之间的不同类型的关系以及财务风险的不同性质,采取合理的投资策略、风险管理策略来实现预期的投资收益。
Financial risk objectively exists in the financial management activities of enterprises, and to varying degrees affect the investment income. Investors should adopt reasonable investment strategies and risk management strategies to achieve the expected investment returns based on the different types of financial risks and remuneration relationships and the different nature of financial risks.