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论中国金融市场风险防范
引用本文:许崇正. 论中国金融市场风险防范[J]. 吉首大学学报(社会科学版), 1999, 0(3)
作者姓名:许崇正
作者单位:安徽大学经济学院!安徽合肥230039
摘    要:中国金融市场潜在着七大风险 ,即 :居民储蓄过度增长的风险 ,体制性风险 ,金融衍生产品风险 ,对冲基金风险 ,计算机犯罪风险 ,证券 (股票 )市场风险 ,外汇市场风险。防范我国金融风险的对策包括建立金融风险预警系统 ,提高金融机构资本充足率 ,加快化解金融业的不良资产 ,降低企业负债率等

关 键 词:金融市场  潜在风险  防范对策

On Preventive Measures Against Financial Market Risk in China
Xu Chongzheng. On Preventive Measures Against Financial Market Risk in China[J]. Journal of Jishou University(Social Science), 1999, 0(3)
Authors:Xu Chongzheng
Abstract:There are seven kinds of latent risk in China′s financial market,namely the risk of resident savings,the system risk,the derivatives products risk,the hedge funds risk,the computer crime risk,the security (stock) market risk and the foreign exchange market risk.Preventive measures against them include the establishment of an antirisk early warning system,the increase of capital sufficiency rate in financial institutions,the acceleration of bad assets dissolution,the decrease of enterprise liabilities rate,etc.
Keywords:financial market latent risk preventive measures  
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