题 目 金融衍生产品的风险及其发展前景分析摘要随着全球固定汇率制度的瓦解和金融创新的不断发展,金融领域发生了翻天覆地的变化,期权、期货、互换等金融衍生产品愈发受到国际社会的认可,开始了迅猛扩张和发展,成为大众金融生活不可或缺的一部分。本文主要致力于探讨我国金融衍生产品市场的发展问题,首先对金融衍生产品的基本理论进行了综合阐述,并提出金融衍生产品发展过程中可能会面临的各项风险,同时介绍了相应的应对措施,为下文的进一步探讨做铺垫。其次回顾了金融衍生产品的起源和发展路径,对国际上主要金融衍生产品市场发展模式进行分析介绍,并指出我国金融衍生产品市场的发展模式。最后通过回顾我国金融衍生产品发展路径,总结过往经验得失,联系我国当前经济金融现实对我国金融衍生产品市场进一步更快更好的发展提出了一些具有针对性和可操作性的对策建议。 关键词:金融衍生产品 金融衍生产品市场 风险 监管AbstractWith the collapse of the global fixed exchange rate system and the continuous development of financial innovation, great changes have tak -en place in financial field, options, futures, swaps and otherderivatives increasingly recognized by the international society, began a rapid ex- pansion and development, become an indispensable part of public fin -ance. This paper is mainly devoted to discuss the development of fin- ancial derivatives market in China, first of all, makes a comprehensive review of the basic theory of financial derivatives, and put forward the development of financial derivatives may face various risks, at the same time corresponding countermeasures are introduced, as further discussed below. The origin of the second derivatives are reviewed and develop -ment path, mainly on the international financial derivatives market de- velopment pattern analysis is introduced, and points out that the develop- ment of financial derivatives market in China. Finally through the review of financial derivatives in our country development path...