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自20世纪90年代以来,国际金融市场中的衍生金融市场飞速发展,各类衍生金融工具也如雨后春笋般出现,为国际金融市场注入了无尽的生机,同样也为那些困境中难以崛起的银行业重新燃起了希望。但是,衍生金融市场是一个极不稳定的市场。一连串的金融危机都和衍生金融工具的产生和发展有着直接或间接的关系。这一系列事件也表明,衍生金融工具为市场带来的套期、套利以及保值行为已经严重影响了金融市场的稳定和安全,政府和社会都必须给予其广泛的关注。
Since the 1990s, the diversified financial markets in the international financial markets have developed rapidly. Various types of derivative financial instruments have also mushroomed, infilling the international financial markets with endless vitality, as well as the banking industry, which is difficult to rise in the doldrums Rekindled hope. However, the derivative financial market is a very unstable market. A series of financial crises have a direct or indirect relationship with the emergence and development of derivative financial instruments. This series of incidents also shows that hedging, arbitrage and hedging brought by derivative financial instruments have seriously affected the stability and security of financial markets. Both the government and the society must pay extensive attention to them.