On Investment Risk Control of Financial Derivatives
Authors
YaJing Wang
Corresponding Author
YaJing Wang
Available Online January 2016.
- DOI
- 10.2991/etmhs-16.2016.110How to use a DOI?
- Keywords
- Risk analysis of financial derivatives risk control
- Abstract
The emergence and rapid development of derivative financial instruments makes a huge impact on the current accounting system lying in accrual basis and accounting model of historical cost measurement principle, which make it more difficult for the risk management. This paper first describes the risk types of derivative financial instruments and on this basis, further studies of enterprise financial derivatives investment risk control measures and process supervision come to a corresponding solution so as to help companies effectively avoid the risk of financial derivatives investment.
- Copyright
- © 2016, the Authors. Published by Atlantis Press.
- Open Access
- This is an open access article distributed under the CC BY-NC license (http://creativecommons.org/licenses/by-nc/4.0/).
Cite this article
TY - CONF AU - YaJing Wang PY - 2016/01 DA - 2016/01 TI - On Investment Risk Control of Financial Derivatives BT - Proceedings of the 2016 2nd International Conference on Education Technology, Management and Humanities Science PB - Atlantis Press SP - 497 EP - 500 SN - 2352-5398 UR - https://doi.org/10.2991/etmhs-16.2016.110 DO - 10.2991/etmhs-16.2016.110 ID - Wang2016/01 ER -