危机之后的投资战略

米兰 ——

投资者在本次危机中损失惨重。我们应该吸取教训,对投资战略进行适当的修改。

投资者应该吸取的主要教训是:不是所有的风险都是静态不变的。风险是不断地变化之中,我们还无法完全理解 —— 这样一来,政府的监管就不可能及时跟上。正因为如此,市场的自我纠正就能就十分的重要,投资战略需要把各种系统的风险性都考虑在内。

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