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国外对金融道德风险研究的前沿理论及防范经验
引用本文:曹元芳,王若平. 国外对金融道德风险研究的前沿理论及防范经验[J]. 国际金融研究, 2006, 0(6)
作者姓名:曹元芳  王若平
作者单位:天津财经大学,中国人民银行天津分行
摘    要:近年来,金融道德风险已成为我国金融业运行中的突出问题。本文在论述国外对金融道德风险研究前沿理论的基础上,进一步比较了美国、欧盟、日本、韩国、新西兰、中国台湾等主要国家或地区对金融道德风险的防范经验,总结出可供我国借鉴的启示,对提高我国金融道德风险的防范水平、维护金融稳定、确保金融安全运行具有重要的参考意义。

关 键 词:金融道德风险  经验  启示

World Experience of Combating Financial Moral Hazard and Its Implication for China
Cao Yuanfang Wang Ruoping. World Experience of Combating Financial Moral Hazard and Its Implication for China[J]. Studies of International Finance, 2006, 0(6)
Authors:Cao Yuanfang Wang Ruoping
Affiliation:Cao Yuanfang Wang Ruoping
Abstract:In some sense, financial moral hazard has become the most serious risk in china's financial practice. We analyze the latest theoretical development in moral hazard study, including information economics, economic ethnics and new institutional economics. We summed up six aspects for reference, through comparing experience in combating and mitigating financial moral hazard in US, EU, Japan, South Korea, New Zealand and Taiwan. This paper will be conducive to warding off financial risks, maintaining financial stability and ensuring financial security.
Keywords:Financial Moral Hazard  Experience  Implication.
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