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后危机时期的两岸金融监管合作
引用本文:庄宗明,高志勇.后危机时期的两岸金融监管合作[J].厦门大学学报(哲学社会科学版),2011(4).
作者姓名:庄宗明  高志勇
作者单位:厦门大学经济学院,福建厦门,361005
基金项目:国家社科基金重大项目“加快建设海峡西岸经济区重大问题研究”(09&ZD065)
摘    要:2008年蔓延全球的金融危机,将两岸金融机构的系统性风险推升至历史高位.虽然其在2009年得以部分缓释,但在全球经济复苏基础脆弱等不利因素的影响下,两岸金融机构的风险水平于2010年重现反弹趋势.目前,加强两岸金融监管合作成为双方携手应对危机的现实选择,也是后ECFA时期推动两岸金融往来的必然要求.然而,目前两岸金融监管仍处于以MOU为导向的原则性合作阶段,未来急需建立起强化宏观审慎监管,保持微观审慎监管的全面监管合作框架,以实现两岸金融业的可持续协同发展.

关 键 词:金融危机  两岸金融监管合作  系统性风险

Financial Supervisory Cooperation between the Mainland and Taiwan after the Financial Crisis
ZHUANG Zong-ming,GAO Zhi-yong.Financial Supervisory Cooperation between the Mainland and Taiwan after the Financial Crisis[J].Journal of Xiamen University(A Quarterly for Studies in Arts & Social Sciences),2011(4).
Authors:ZHUANG Zong-ming  GAO Zhi-yong
Institution:ZHUANG Zong-ming,GAO Zhi-yong(School of Economics,Xiamen University,Xiamen 361005,Fujian)
Abstract:The world-wide financial crisis in 2008 pushed the systemic risk of cross-strait financial institutions to an all-time high.Although the risk was reduced to some extent in 2009,the fragile global economic recovery has driven the risk level up again in 2010.At present,a realistic policy is to strengthen the cross-strait financial supervisory cooperation so as to tackle the crisis,and this too will serve well to meet the requirement of promoting the cross-strait financial exchanges in the post-ECFA era.Howeve...
Keywords:financial crisis  supervisory cooperation  systemic risk  
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