论文部分内容阅读
现如今,投资领域中的风险因素是不可避免的,而企业中的任何一项保险策略所呈现出来的优势都是一种相对的关系,依照股票市场的运行规律将保险策略进行有效地整合,这就是投资行业所浮现的投资组合保险,主要目的是在一定程度上起到规避投资风险的作用,从而使企业的财经管理达到一种良好的效果,因此研究投资组合保险策略对企业的财经管理具有十分重大的作用。
Nowadays, the risk factors in the field of investment are inevitable, and the advantages presented by any one of the insurance policies in the enterprise are a relative relationship. According to the operation rules of the stock market, the insurance policies are effectively integrated, This is the investment portfolio insurance industry emerge, the main purpose is to a certain extent play a role in avoiding the risk of investment, so that the financial management of enterprises to achieve a good effect, so the study of portfolio insurance strategy on the enterprise’s financial management Has a very significant role.