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论货币金融风险配置体系的结构与效率
引用本文:张然斌,欧阳强.论货币金融风险配置体系的结构与效率[J].长沙民政职业技术学院学报,2006,13(2):66-70.
作者姓名:张然斌  欧阳强
作者单位:长沙理工大学经济学院,湖南,长沙,410076
摘    要:货币金融风险是一种短缺资源,其资源化的过程就是风险被金融产品捆绑、打包、分拆的过程。合理的金融结构是货币金融风险进行有效配置的基础,也是提高我国金融调控和监管效果的重要前提。本文从货币金融风险的特点、来源的分析入手,并结合我国金融调控和监管现状,提出建立以完善金融结构为主要内容的货币金融风险配置体系的必要性。

关 键 词:货币金融  风险配置  金融制度  金融结构
文章编号:1671-5136(2006)02-0066-05
收稿时间:2006-03-15
修稿时间:2006年3月15日

On Structure and Efficiency of MortUary and Financial Risk Collocation System
ZHANG Ran-bin,OUYANG Qiang.On Structure and Efficiency of MortUary and Financial Risk Collocation System[J].Journal of Changsha Social Work College,2006,13(2):66-70.
Authors:ZHANG Ran-bin  OUYANG Qiang
Institution:Changsha University of Science and Technology, Changsha, Hunan, 410076
Abstract:Monetary and financial risk becomes a hard-up resource bounded,packed,and dismantled by finance products.Efficient monetary and financial risk collocation is based on rational structure,which is also important premise of improving finance control and supervision.This paper starts with the analysis on the characteristics and origin of monetary and financial risk and proposes the need of founding system of monetary and financial risk collocation according to actuality of China's finance control and supervision.
Keywords:currency and fmance  risk collocation  financial institutions  finance structure
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