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金融创新的风险及其控制策略分析
引用本文:柯健. 金融创新的风险及其控制策略分析[J]. 昆明理工大学学报(社会科学版), 2009, 9(6): 72-75
作者姓名:柯健
作者单位:中共江西省委党校,经济学教研部,江西,南昌,330003  
摘    要:金融创新在促进金融发展时若使用不当,会加大金融风险,因为创新促使商业银行改变经营策略,金融体系改变其构成,以及金融风险的隐蔽性更强。金融创新风险对金融业的带来了巨大的冲击,要控制金融创新带来的风险必须进行制度创新,进一步完善金融监管体系。金融机构在进行金融创新的同时,要提升风险识别与管理能力,特别要注重防范创新过程中新的风险,保证金融稳定,提高中国金融业的国际竞争力。

关 键 词:金融创新  金融监管  风险控制  策略分析

Analysis for Financial Innovation Risk and Control Policy
KE Jian. Analysis for Financial Innovation Risk and Control Policy[J]. Journal of Kunming University of Science and Technology(Social Sciences), 2009, 9(6): 72-75
Authors:KE Jian
Affiliation:Party School of CPC Jiangxi Provincial Committee Economics Teaching and Research Department;Nanchang;Jiangxi 330003
Abstract:If financial innovation improperly involved at the process of promotion finance development,it may enlarge the financial risks.Because it will urges the Commercial banks to change their management strategies,and the financial system will change its constitution,as well as the confidentiality of financial risks will be stronger.The financial innovation risk has brought the huge impacts to the financial industry,so it must be controlled through carry on the institutional innovations at the financial innovatio...
Keywords:financial innovation  financial supervision  risk control  the strategy analyzes  
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