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中国金融脆弱性(1991~2000):综合判断及对策建议
引用本文:伍志文. 中国金融脆弱性(1991~2000):综合判断及对策建议[J]. 当代经济科学, 2002, 24(5): 29-35
作者姓名:伍志文
作者单位:南开大学,金融系,天津,300457
摘    要:金融脆弱性的概念产生于20世纪80年代初期,随着金融危机的不断爆发,对金融脆弱性的理论研究和量化分析也越来越多。本文在前人研究的基础上对1991-2000年中国金融脆弱性程度进行了具体的量化分析;并就减轻或消除既有的金融脆弱性,防止金融脆弱性的进一步加剧提出了几点建议。

关 键 词:中国 金融脆弱性 金融制度创新 金融分化 1991-2000年 金融危机 金融监管
文章编号:1002-2848(2002)05-0029-07
修稿时间:2002-04-26

A General Judgement on and Countermeasures Suggested to China''s Financial Fragility (1991-2000)
WU Zhi-wen. A General Judgement on and Countermeasures Suggested to China''s Financial Fragility (1991-2000)[J]. Modern Economic Science, 2002, 24(5): 29-35
Authors:WU Zhi-wen
Abstract:The concept of financial fragility arose in the early 1980s. With the consequent occurrence of financial crisis, more and more theoretical studies and quantitative analyses on financial fragility have been made. On the basis of the studies by predecessors, this paper makes specific quantitative analysis on China's financial fragility (1991-2000) and puts forward some countermeasures to alleviate or eliminate the present financial fragility and to prevent it from being further intensified.
Keywords:Key Words: financial fragility  financial system innovation  financial diversification  countermeasures
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