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加强市场基础建设 提高风险预警能力——希腊主权债务危机的反思
引用本文:张璨,李富强.加强市场基础建设 提高风险预警能力——希腊主权债务危机的反思[J].中国货币市场,2010(6):19-22.
作者姓名:张璨  李富强
作者单位:中国银行间市场交易商协会
摘    要:近来,希腊债务危机成为全球经济舆论的焦点。文章指出,希腊债务危机是希腊经济自身缺陷、主权债务信息披露不完善、欧元区体制弊端等问题的集中体现。借鉴希腊债务危机的教训,我们应进一步强化信息披露对金融市场发展基础性作用的认识,通过发展直接融资促进地方政府融资的显性化,并尽快建立和完善我国金融市场的风险监控、预警和处理机制。

关 键 词:希腊主权债务危机  信息披露制度  风险预警

Enhancing market infrastructure and risk warning capacity-Lesson from the Greek debt crisis
Zhang Can,Li Fuqiang.Enhancing market infrastructure and risk warning capacity-Lesson from the Greek debt crisis[J].China Money,2010(6):19-22.
Authors:Zhang Can  Li Fuqiang
Institution:(National Association of Financial Market Institutional Investors )
Abstract:The Greek debt crisis has become the focus of the global economy.According to this paper,the Greek debt crisis is a combination of its own economic problems,the incomplete information disclosure of sovereign debts,and defects in the Euro-zone system.As a lesson from Greece's debt crisis,we should recognize the importance of basic functions like information disclosure to financial market development,make local government's financing activities more transparent by using direct financing,and promote the establishment of a risk supervision,warning and disposal system in China's financial market.
Keywords:Greek sovereign debt crisis  information disclosure system  risk warning
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