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流动性风险管理新工具的背景与影响:基于危机视角的考察
Research on the Background and Impact of the New Liquidity Risk Management Tools: Review from the Perspective of Crisis
【摘要】 流动性风险是商业银行的主要风险之一,业界和监管当局通过本次金融危机进一步加深了对流动性风险的认识,在反思过后提出了有针对性的应对措施。本文从回顾危机中金融市场流动性的变化入手,研究了危机之后出台的流动性监管指标的合理之处及其局限性,并就新的监管指标在我国实施所面临的挑战进行了分析。文章最后展望未来流动性风险管理中的建模、制度安排及监管协调等。
【Abstract】 Liquidity risk is one of the most important risks of commercial banks.The financial crisis gave supervisors and banks an opportunity to have a better understanding of liquidity risks.As a result,regulators have proposed many measurements to strength the liquidity risk management.This paper reviews the liquidity changes during the period of financial crisis,analyses the rationality and limitations of the new regulatory liquidity indicators,and studies the special challenges China may face when implementing these measures.Finally,the paper proposes three aspects that need to be researched more in the field: more structured models,institutional arrangements and regulatory coordination.
- 【文献出处】 国际金融研究 ,Studies of International Finance , 编辑部邮箱 ,2013年09期
- 【分类号】F832.33
- 【被引频次】83
- 【下载频次】2106