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基于金融不稳定理论的宏观审慎监管指标浅析
引用本文:赵海荣,姜林.基于金融不稳定理论的宏观审慎监管指标浅析[J].中国货币市场,2012(3):13-15.
作者姓名:赵海荣  姜林
作者单位:[1]辽宁金融职业学院 [2]中国人民银行沈阳分行金融稳定处
摘    要:文章在回顾金融不稳定相关理论的基础上,分析了金融危机产生的原因及实质,根据理论和实践经验总结了宏观审慎监管的指标体系,探讨了指标在使用过程中应注意的问题,指出发展中国家货币当局应增强金融指标统计的及时性,扩大覆盖面,并根据自身实际情况不断完善其宏观审慎监管指标体系。

关 键 词:金融不稳定理论  系统性风险  宏观审慎监管指标

An analysis of macroprudential monitoring indicators based on the financial instability hypothesis
Zhao Hairong,Jiang Lin.An analysis of macroprudential monitoring indicators based on the financial instability hypothesis[J].China Money,2012(3):13-15.
Authors:Zhao Hairong  Jiang Lin
Institution:Associate Professor, Department of Finance, Liaoning Financial Vocational College Financial Stability Department, People's Bank of China Shenyang Branch
Abstract:Based on the review of the financial instability hypothesis, this paper analyzes the causes and essence of financial cnsis. It sums up the macroprudential monitoring indicators on the theoretical and practical experience, and studies the issues that require attention while applying. It states that the monetary authority of a developing country shall increase the timeliness and coverage of financial indicator statistics and improve the macroprudential monitoring indicators subject to its own actual circumstances.
Keywords:financial instabiliiy hypoihesisl systemi-risks  macroprudential monitoring indicators
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