基于公司治理系统论的金融机构治理风险研究  被引量:10

The research of financial corporate governance risk based on the theory of governance system

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作  者:罗胜[1] 邱艾超[1] 

机构地区:[1]南开大学公司治理研究中心,天津300071

出  处:《保险研究》2008年第12期57-62,共6页Insurance Studies

摘  要:金融机构最根本的风险是治理风险。本文在文献回顾的基础上基于公司治理系统论对治理风险进行了界定,并解析了金融机构治理风险的内涵和来源;金融机构脆弱的治理体系以及治理结构、治理行为、治理对象风险的积累是金融危机的重要原因。金融机构在完善金融风险预警机制的基础上,应该建立公司治理风险预警机制。The corporate governance risk is the fundamental risk of financial entities. After making a review on relevant literature, this article defined corporate governance risk based on the system of governance theory. Then, it analyzed the connotation and sources of governance risks of financial institutions. Financial institutions' fragile governance system as well as the accumulation of governance structure risks, governance behavior risks and governance target risks was an important cause of the financial crisis. Financial institutions should establish a governanee risk warning mechanism on the basis of an improved financial risk warning mechanism.

关 键 词:治理风险(CGR) 委托代理 信息不对称 治理系统 

分 类 号:F840.32[经济管理—保险]

 

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