中国国债市场均衡性研究 |
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引用本文: | 陈方正,魏晓乐. 中国国债市场均衡性研究[J]. 汕头大学学报(人文社会科学版), 2002, 18(1): 38-43 |
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作者姓名: | 陈方正 魏晓乐 |
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作者单位: | 同济大学经济与管理学院,上海,200092 |
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摘 要: | 本文针对国债市场存在的不均衡性的表象 ,探讨了国债市场不均衡发展的功能定位原因、不均衡发展的直接后果及其现实催化剂 ,提出要均衡发展国债市场必须加强做市商的培育、优化国债结构、强化银行在国债市场的作用及统一国债市场等相应对策。
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关 键 词: | 金融业 国债市场 均衡 利率 做市商 |
文章编号: | 1001-4225(2002)01-0038-06 |
修稿时间: | 2000-09-21 |
An equilibrium study on market operation of China''''s governmental bonds |
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Abstract: | In view of the disequilibrium existing in China's governmental bonds market,this paper locates the functional causes for its imbalanced development along with its direct consequences and current catalysts,and goes on to present corresponding countermeasures to be adopted to equilibrate China's governmental bonds market,such as giving sensible advice to stockjobbers,optimizing the structure of governmental bonds,strengthening the role played by banks in governmental bonds market,and making efforts to unify China's governmental bonds market. |
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Keywords: | financial business governmental bonds market equilibrium interest rate stockjobber |
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