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金融是现代经济的核心,随着经济全球化和金融自由化的发展,金融市场的安全与稳定也成为我们关注的焦点。金融市场包括货币市场,股票市场,债券市场,外汇市场,期货市场等。金融活动的发生,必然会伴随着金融风险的产生与发展,而金融风险它并不是孤立着的,由于金融市场高度的关联度和互动性,当金融风险产生之后,如果没有被及时的化解和处理,当积累到一定的程度,就会发生扩散,辐射到经济运行的各个方面,对国名经济产生深远的影响。
本文沿着金融风险扩散的相关基础知识----扩散的路径----扩散的模型----扩散理论的实证研究这一条逻辑线,综合运用金融风险管理的相关理论知识,数理统计,计量软件EVIEWS 等工具,对该问题进行了系统的研究,。总结我们应该对金融风险进行预警和及时的处理化解,采取有效的控制手段,剪断风险扩散的路径,减弱风险扩散的危害程度。
第一部分主要介绍研究目的和意义,国内外研究现状以及研究的内容和方法;第二部分主要阐述金融风险扩散的基础知识;第三部分主要研究金融风险扩散的路径和模型;第四部分主要是对金融风险的扩散进行实证研究;最后是对全文进行总结和对未来研究的展望。
谁能帮我翻译一下,下面是拿google翻译的,共参考
Finance is the core of modern economy, as economic globalization and financial liberalization, security and stability of financial markets has become a focus of our attention. Financial markets, including money market, stock market, bond market, foreign exchange market, futures market. The occurrence of financial activities, inevitably accompanied by the emergence and development of financial risk, and financial risks it is not a stand alone, and the financial markets and a high degree of correlation interaction, when the financial risks after being elected, if not timely resolved, and treatment, when accumulated to a certain extent, diffusion occurs, radiation to the economic operation of all aspects of the economy on the country names have a profound impact.
This article related to the spread of financial risks along the basic knowledge of the diffusion path ---- ---- ---- diffusion theory model of the proliferation of empirical research that a logical line, the integrated use of financial risk management theory and knowledge of mathematical statistics , measurement tools such as software EVIEWS, the problem of the system. Concluded that we should be early warning of financial risks and timely treatment to resolve, and take effective means of control, cut the risk of spread of the path of the spread of harmful levels of reduced risk.
The first part introduces the purpose and significance, research status and research the content and method; the second part describes the basics of the spread of financial risks; the third part of the main path and the spread of financial risk models; fourth part is the spread of the financial risks empirical research; finally, the summary and the full text prospects for future research.