The Research of Derivatives Affecting Global Financial Crisis / 金融海嘯相關衍生性商品之研究

碩士 / 元智大學 / 經營管理碩士在職專班 / 99 / The Global financial crisis happened around 2008 and it really shocked everyone that time. The main causes of the financial crisis are subprime mortgage and the related derivatives. When the situation was getting out of control, the financial crisis got worse and worse. How would we judge about these derivatives? Would it be totally a positive innovation in financial field, or just a disaster to all the inventors who involved in? So, the thesis would focus on the relationship between the global financial crisis and the related derivatives. Another issue of the thesis is about the risk management and strategic goal facing the complexity of derivatives and how to find out the true meaning of these derivatives.
Through the literature research and the analysis of the thesis, we find several methods to make the derivatives in the positive way in the future and listed as followings.
1.To educate the customers about the derivatives, and the realization of risk.
2.To strengthen the risk management and financial overseeing systems of the financial institutions
3.The fluid risk and the default risk of the related derivatives should be re-viewed.
4.The salary and bonus system should be serious made

Identiferoai:union.ndltd.org:TW/099YZU05457016
Date January 2011
CreatorsHsuan-Chih Liu, 劉軒志
Contributors丘邦翰
Source SetsNational Digital Library of Theses and Dissertations in Taiwan
Languagezh-TW
Detected LanguageEnglish
Type學位論文 ; thesis
Format56

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