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从次贷危机看我国资产证券化的风险控制
引用本文:何树红,孙文,徐文涛. 从次贷危机看我国资产证券化的风险控制[J]. 改革与战略, 2010, 26(7): 93-95,105
作者姓名:何树红  孙文  徐文涛
作者单位:云南大学数学与统计学院,云南,昆明,650091
基金项目:国家自然科学基金,云南省教育厅重点科研项目,云南大学"中青年骨干教师培训计划"专项经费资助项目 
摘    要:从2007年以来,美国的次贷危机愈演愈烈,与此同时,我国的资产证券化试点工作也在如火如荼地进行。文章着重从次贷危机与资产证券化入手,结合我国资产证券化现状,对资产证券化的风险控制提出建议。

关 键 词:次贷危机  资产证券化  风险控制

On the Risk Control of Asset Securitization in China from Sub-loan Crisis
He Shuhong,Sun Wen,Xu Wentao. On the Risk Control of Asset Securitization in China from Sub-loan Crisis[J]. Reformation & Strategy, 2010, 26(7): 93-95,105
Authors:He Shuhong  Sun Wen  Xu Wentao
Affiliation:(Institute of Mathematics and Statistics, Yunnan University, Kunming, Yunnan 650091)
Abstract:The sub-loan crisis United States has been intensified since 2007.At the same time, asset securitization in China is being carried out.This paper, from the sub-loan crisis and asset securitization approach, combined with the status quo of China's asset securitization, puts forward suggestions on the risk control of asset securitization.
Keywords:sub-loan crisis  asset securitization  risk control
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