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Factors Affecting the Behavior of Financial Markets in the Light of Financial Risks

机译:根据金融风险影响金融市场行为的因素

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摘要

The financial market is the primary source of financing, which institutions need to finance their projects as well as their own potential to achieve their financial and material resources. The presence of financial markets in any country reflects the development of the economies of countries and their progress. It aims to secure the flow and pool savings to contribute to the investment and development process by mobilizing and directing financial resources, facilitating trading, diversifying risks and increasing investments. The development of financial markets linked to the economic development experienced by most countries of the world because of their role in stimulating investment. So, the financial market influenced by the results of past events to anticipate future events in an economic environment characterized by instability and uncertainty due to the possibility of facing financial risks.
机译:金融市场是融资的主要资料来源,该机构需要为其项目提供资助,以及自己潜力实现其财务和物质资源。 任何国家的金融市场的存在反映了国家经济的发展及其进度。 它旨在通过动员和指导财政资源,促进交易,多样化风险和增加投资,确保流动和游泳池节省促进投资和发展过程。 由于在刺激投资方面的作用,世界大多数国家经济发展的金融市场的发展。 因此,由于过去的经济环境中的经济环境中,金融市场受到过去的结果的影响,这是由于面临金融风险的可能性,以不稳定和不确定性为特征。

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