摘要
由于金融中心的集聚和辐射功能,所以它对支撑经济的发展起着重要的积极作用。然而后危机时期整个经济的发展受到众多不确定性因素的影响,金融中心在发挥正向功能的同时,其风险也在积聚。因此,根据金融中心的风险特征,切实加强金融中心的风险管理,是后危机时期加强金融中心建设的重要内容之一。
As the clustering and radiation function of financial centers,it plays an important positive role in supporting economic development.However,the economic development in post-crisis period is affected by many uncertain factors,the financial centers are confronted with risk accumulating while it play a positive function.Thus,based on the risk characteristics of financial centers,strengthening the risk management of financial centers is one of the important works for strengthening the construction of the financial centers in post-crisis period.
出处
《石家庄经济学院学报》
2011年第1期70-74,共5页
Journal of Shijiazhuang University of Economics
关键词
金融中心
道德风险
逆向选择
financial center
moral hazard
adverse selection