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金融全球化与中国金融监管的战略选择

Financial Globalization and the Strategic Selection About China Financial Regulation

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【作者】 吕竺笙

【Author】 LU Zhu-sheng (Economics College, Fudan University, Shanghai 200433, China)

【机构】 复旦大学经济学院 上海200433

【摘要】 金融全球化是各国之间货币市场和金融风险发生机制相互作用不断加强的过程。这一过程必将改变金融风险发生的机制,并大大加剧金融风险发生的可能性。这就对各国的金融监管提出了新的要求。本文在分析风险发生机制变化的基础上,提出了中国金融监管的战略选择。

【Abstract】 Financial globalization is a process in which the interplay between the monetary market and the mechanism of the financial risk are strengthening day after day. This process will not only transform the mechanism of the financial risk. but also prick up the probability of the financial risk. At the same time, this process lodges new requirements for worldwide financial regulation. This article puts forward the strategic selection about China financial regulation based on the analysis of the transformation of the mechanism of the financial risk.

  • 【文献出处】 财经论丛(浙江财经学院学报) ,Collected Essays on Finance and Economics , 编辑部邮箱 ,2001年06期
  • 【分类号】F832
  • 【下载频次】123
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