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金融市场的风险与监管对策
引用本文:王发清. 金融市场的风险与监管对策[J]. 北方论丛, 2002, 0(2): 77-80. DOI: 10.3969/j.issn.1000-3541.2002.02.016
作者姓名:王发清
作者单位:河南大学,管理学院,河南,开封,475001
摘    要:20世纪80年代以来,世界各国金融风险事故频繁爆发.探讨金融风险的成因,采取防范金融风险的金融监管对策,是经济理论家和经济管理者普遍关注的课题.

关 键 词:金融风险  货币资金  监管对策
文章编号:1000-3541(2002)02-0077-04
修稿时间:2001-10-27

An Analysis on the Risks and Supervising Countermeasures in the Financial Market
Wang Fa qing. An Analysis on the Risks and Supervising Countermeasures in the Financial Market[J]. The Northern Forum, 2002, 0(2): 77-80. DOI: 10.3969/j.issn.1000-3541.2002.02.016
Authors:Wang Fa qing
Abstract:Since 1980s, financial incidents and risks break off frequently throughout the world. It has become a universally noticed matter for the economical theorists and economical administrators to research the causes and to take measures to prevent such risks and incidents.
Keywords:financial risks  money-fund  supervising countermeasures
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