货币市场和资本市场融合中银行风险的防范  

Precautions against the Bank's Risk in the Merge of Money Market and Capital Market

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作  者:闵宗陶[1] 郭晓峰[1] 张洁颖[1] 

机构地区:[1]西安交通大学经济与金融学院,陕西西安710061

出  处:《上海金融学院学报》2005年第1期25-30,共6页Journal of Shanhai Finance University

摘  要:在经济全球化的今天,资本市场与货币市场得到巨大的发展,二者的融合趋势不断增强,从而极大地推动了金融市场的发展,但金融风险却不断凸现。银行业如何在资本市场和货币市场融合趋势下提高自身盈利水平,加强自身抗风险能力,有效抵抗金融市场上出现的风险,更好地为经济发展服务成为当前银行业急需解决的问题。在分析现实环境的基础上,要把握货币市场与资本市场融合的趋势,有效防范金融市场融合过程中的风险。With economic globalization, the capital market and money market get enormous development, the integration trend of the two is strengthened constantly. Thus greatly push the financial market's development, but financial risks are protruding now constantly. How the banking improves the level of one's own profit constantly under the trend of merging of capital market and money market, strengthen one's own ability to resist risk appearing on the financial market effectively, better to serve economic development has become the problem badly in need of solution. This text attempts to analyze the realistic environment under the trend of merging of money market and capital market, offer an effective way to take precautions against risk in the course of financial market merging.

关 键 词:资本市场 货币市场 银行风险 

分 类 号:F830.9[经济管理—金融学]

 

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