摘要
主要从我国金融风险的表现、产生原因、管理与控制现状出发,结合中国入世后我国金融市场面临的机遇和挑战,提出了必须整顿和规范金融市场、构建完善的金融体系、加强金融风险管理和建立金融风险保险机制等风险规避策略。
The paper is based on the present situation of financial risk in China, including its performance, generating source, management and control status. Combining the opportunity and challenge faced China after entering WTO, some of risk-avoiding strategies are given, such as neatening and normalizing financial markets, constructing perfect financial system, and enforcing the management of financial risk and establishing the system of financial risk insurance.
出处
《天津大学学报(社会科学版)》
2004年第1期52-55,共4页
Journal of Tianjin University:Social Sciences
关键词
风险
体系
风险管理
风险规避
risk
system
risk management
risk averse.