EPISODE · Feb 23, 2026 · 3 MIN
E50 系统性风险 - 金融学
from 每天一个
系统性风险是指国家因多种外部或内部的不利因素经过长时间积累没有被发现或重视,在某段时间共振导致无法控制使金融系统参与者恐慌性出逃(抛售),造成全市场投资风险加大。系统性风险对市场上所有参与者都有影响,无法通过分散投资来加以消除。系统性风险包括政策风险、经济周期性波动风险、利率风险、购买力风险、汇率风险。其中政策和宏观的变化交互影响市场的流动性。在小宇宙查看该单集文稿
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E50 系统性风险 - 金融学
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