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后危机时期金融中心的风险特征与管理策略
引用本文:陆岷峰,葛虎.后危机时期金融中心的风险特征与管理策略[J].北华大学学报(社会科学版),2011,12(1):43-48.
作者姓名:陆岷峰  葛虎
作者单位:南京财经大学金融学院,南京,210046
摘    要:由于金融中心的集聚和辐射功能,它对支撑经济的发展起着重要作用。然而,后危机时期整个经济的发展受到众多不确定性因素影响,金融中心在发挥正向功能的同时,其风险也在积聚。因此,根据金融中心的风险特征,切实加强金融中心的风险管理,是后危机时期加强金融中心建设的重要内容之一。

关 键 词:金融中心  道德风险  逆向选择

Risk Characteristics and Management Strategies of Financial Center in the Post-crisis Period
LU Min-feng,GE Hu.Risk Characteristics and Management Strategies of Financial Center in the Post-crisis Period[J].Journal of Beihua University(Social Sciences),2011,12(1):43-48.
Authors:LU Min-feng  GE Hu
Institution:(Finance Institute,Nanjing University of Finance,Nanjing 210046,China)
Abstract:Because of cluster and radical functions of the financial centers,the financial centers play an important positive role in serving economical development.However,the economical development is influenced by many uncertain factors in the post-crisis period,the financial centers play a positive function as well as accumulate risks.Thus,according to the risk characteristics of financial centers,strengthening risk managements of financial centers is one of the most important contents in the post-crisis period.
Keywords:Financial center  Moral risk  Adverse selection
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