摘要
金融稳定与安全事关一国的经济安全、国家安全与主权安全,是维持国民经济持续、快速、健康发展的基本条件。在金融改革提速与渐进开放,以及两者的互动的背景下,中国区域金融稳定问题受到了学术界与决策层的广泛关注和重视。应从宏观与微观两个层面构建预警指标体系,同时还应注重金融风险的事中控制及其事后处理,使金融稳定理论体系更趋于完善。
Financial stability is related to economic security, national security and sovcreignty. It is one of the most important conditions ensuring national economy of a continous, fast, and healthy development, With the accelerated reform and gradual open- up in finance area, and especially the interactivenesa of them, China' s regional financial stability has received the extensive concerns of the academic and policy - making circles, This paper is intended to build precaution index systern from both macroscopic and microcosmic aspects, which focus on the trundling of financial risks before and ofterwards. This serves as another contribution to the study on financial stability,
出处
《商业研究》
北大核心
2006年第4期146-148,198,共4页
Commercial Research
基金
中国人民银行武汉分行2004度重点课题
项目编号:WB2004263
关键词
全融稳定
预警
指标体系
financial stability
prccaustion
index system