摘要
为推动我国金融与科技深度融合和协调发展,结合脆弱性理论分析了金融-科技耦合脆弱性特征及内涵。基于耦合系统内部结构,利用聚类分析法构建了金融-科技耦合脆弱性评价指标体系,并建立综合评判模型,结合相关数据测算了2007—2016年中国金融-科技耦合脆弱性指数。研究发现,中国金融-科技耦合脆弱性由较重脆弱演变为较轻脆弱,但近年有缓慢上升趋势。对此的解释是:金融危机期间脆弱性指数较高,危机后出台的一系列政策有效降低了脆弱性指数;此后,金融市场波动性较大,科技系统结构发展不平衡,部分技术成熟度不高,以及监管科技发展滞后等原因使金融-科技耦合脆弱性指数有上升趋势。
To promote the deep integration and coordinated development of China′s finance and technology,the characteristics and connotation of′Finance-Technology′coupling vulnerability based on the vulnerability theory are analyzed.According to the internal structure of the coupling system,an evaluation index system is constructed to evaluate the vulnerability of the coupling system by using the clustering analysis method,and a comprehensive evaluation model is also established to calculate the vulnerability of China′s′Finance-Technology′coupling system from 2007 to 2016 with correlation data.The study shows that China′s′Finance-Technology′coupling vulnerability index has evolved from heavier vulnerability to mild vulnerability,but it has been slowly rising in recent years.The explanation for this is that during the financial crisis,the vulnerability index was relatively high,and a series of policies introduced after the crisis effectively reduced the vulnerability index.Then,due to the volatility of the financial market,the unbalanced development of the science and technology system structure,the low-level maturity of technology and the lagging development of regulatory technology,the′Finance-Technology′coupling vulnerability index has an upward trend.
作者
王仁祥
崔雅倩
WANG Ren-xiang;CUI Ya-qian(School of Economics,Wuhan University of Technology,Wuhan 430070,China)
出处
《北京邮电大学学报(社会科学版)》
2018年第3期87-96,共10页
Journal of Beijing University of Posts and Telecommunications(Social Sciences Edition)
基金
国家社会科学基金资助项目(13BJY023)
中央高校基本科研业务费专项资金项目(2015-yb-011)
关键词
金融-科技
耦合
脆弱性
Finance-Technology
coupling
vulnerability