摘要
金融监管的本质是在金融市场不完全的情况下 ,基于社会公共利益的需要 ,由自主的金融监管者纠正或避免金融市场缺陷的行为。当前我国金融监管实践中面临诸多矛盾 ,需要结合我国国情 ,从理论与实践相结合的角度去认识、化解矛盾 ,改善我国的金融监管体制。
The essence of financial supervision is a behavior to correct and precause the financial market fault.Now,there are a lot of contradictions in our financial supervision practices,we ought to recoginze and solve the contradictions by combining theory with practice according to our national condition and we must improve our financial supervision system.
出处
《金融理论与实践》
北大核心
2000年第3期7-9,共3页
Financial Theory and Practice
关键词
金融监管
金融风险
监管体制
国际惯例
中国
financial supervision
financial risk
supervision system
international practice