摘要
文章结合银行危机的成因,从银行内部脆弱性和外部宏观环境两个方面构建了银行危机预警系统的指标体系,并通过层次分析法合理赋权,最后以A股上市银行为例,量化分析了中国银行业面临的系统性风险及单个银行面临的非系统性风险,对银行危机的预警、评级及后续的监管具有一定的现实意义。
The paper firstly establishes the bank crisis pre-warning indicator system by analyzing the banks' internal and external factors ,then uses analytic hierarchy process (AHP) to conform the weighted coefficient. At last ,analyses the systemic risk of China's banking sector and non-systemic risk of single bank, taking A-shares listed banks for example. There are certain practical signification for Early Warning,Rating,regulating of Bank Crisis.
出处
《中国经济问题》
CSSCI
北大核心
2013年第1期92-99,共8页
China Economic Studies
基金
广西教育厅科研项目面上项目(200911MS237)
梧州学院科研项目(2009C019)
关键词
银行危机
预警系统
层次分析法
bank crisis
early warning system
analytic hierarchy process