首页 | 本学科首页   官方微博 | 高级检索  
     

金融安全理论及其实证研究评述
引用本文:张岩岩,邹辉文. 金融安全理论及其实证研究评述[J]. 东华理工学院学报, 2006, 25(2): 143-149
作者姓名:张岩岩  邹辉文
作者单位:[1]东华理工学院数学与信息科学学院,江西抚州344000 [2]东华大学工商管理学院,上海200051
基金项目:中国博士后科学基金;江西省自然科学基金
摘    要:
金融安全是一国的金融系统能够凭借各种手段抵御和消除来自内部和外部的各种威胁和侵害,确保一国正常的金融功能和金融秩序。文章对金融安全的国内外研究现状进行述评,就金融安全的研究背景,研究方法与模型、理论意义以及进一步的工作进行了阐述,使对该研究方向的理论、方法和意义有一个较清晰的了解。

关 键 词:金融安全  预警指标体系  预警模型
文章编号:1001-635X(2006)02-0143-07
收稿时间:2005-09-09
修稿时间:2005-09-09

Review of the Theory and Empiricism of the Safety of Finance
ZHANG Yan-yan,ZOU Hui-wen. Review of the Theory and Empiricism of the Safety of Finance[J]. Journal of East China Institute of Technology, 2006, 25(2): 143-149
Authors:ZHANG Yan-yan  ZOU Hui-wen
Abstract:
The financial security is that one country' financial system can rely on various kinds of means to resist and dispel various kinds of threats and encroach which come from inside and outside, and guarantee one country's normal financial function and financial order. Finance safety studying the current situation which includes both at home and abroad was discussed in this text. The research background with safe finance, research approach, models , theory meaning and further work have been explained, so that the theory, methods and significance of this research direction can be clearly understood.
Keywords:the finance safety  early warning index system  early warning model
本文献已被 CNKI 维普 万方数据 等数据库收录!
正在获取相似文献,请稍候...
设为首页 | 免责声明 | 关于勤云 | 加入收藏

Copyright©北京勤云科技发展有限公司  京ICP备09084417号