在此基础上,分析了中国金融市场的风险管理现状和问题,并总结了解决方案。最后,提出了进一步完善金融市场风险管理的建议。
题目:基于中国金融市场的风险管理研究
摘要:本论文着重研究了中国金融市场的风险管理,通过对金融市场风险的分类和分析,探讨了风险管理的理论基础和管理模式。在此基础上,分析了中国金融市场的风险管理现状和问题,并总结了解决方案。最后,提出了进一步完善金融市场风险管理的建议。
关键词:金融市场,风险管理,分类,分析,问题,解决方案,建议。
Abstract: This thesis focuses on the risk management of China's financial market. By classifying and analyzing the risks of financial markets, this study discusses the theoretical basis and management mode of risk management. On this basis, it analyzes the current situation and problems of risk management in China's financial market and summarizes the solutions. Finally, some suggestions are put forward for further improving the risk management of financial markets.
Keywords: financial market, risk management, classification, analysis, problem, solution, suggestion.