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现代社会的发展在经济和科技的双重推动下呈现快速化的趋势,经济和市场的全球化进程也加快了对我国经济大环境的影响。金融行业作为经济市场中的前沿行业,在不断变化的市场环境中不断承受着外来的影响。而这种环境下,金融风险出现的概率不断上升。为了保障我国金融行业的健康发展从而维护经济市场的发展,就需要对金融风险加以防范和控制。基于此,本文就着手于当前金融风险出现原因的分析,并在分析的基础上找寻防范的措施。
The development of modern society shows a rapid trend under the dual promotion of economy and science and technology. The economic and market globalization process has also accelerated the impact on the economic environment of our country. As a frontier industry in the economic market, the financial industry continues to suffer external influences in a constantly changing market environment. In this environment, the probability of financial risk is on the rise. In order to safeguard the healthy development of China’s financial industry so as to safeguard the development of the economic market, we need to guard against and control financial risks. Based on this, this article starts with the analysis of the causes of the current financial risks, and on the basis of the analysis to find preventive measures.