资产管理乱象之治  被引量:4

Governance of Chaos of Assets Management

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作  者:徐诺金 

机构地区:[1]中国新供给经济学50人论坛,河南郑州450040

出  处:《征信》2017年第8期6-10,共5页Credit Reference

摘  要:当前,我国资产管理领域存在着资金空转导致"脱实向虚"、高杠杆加剧金融风险波动、层层嵌套导致监管失灵、影子银行过度膨胀集聚金融风险等问题,加强我国资产管理监管已刻不容缓。乱象之源是脱离国情的金融创新理论误导与实践迷茫,回归本真和本土是资产管理健康发展的唯一正确道路。治理资产管理乱象必须强化金融监管,保持对资产管理乱象的高压态势。同时,理论和监管体制要符合国情,金融创新要结合本土,金融要回归本真,监管主体要落实责任。At present, there are such problems in the field economy due to idle funds turn-over in financial system, leverage, regulation failure resulted from the nested layers, of assets management in China as spinoff from real to virtual the increased volatility of financial risks caused by high financial risks converge arising from excessive expansion of shadow banking, etc. ; it' s urgent for China to strengthen the supervision of assets management in China. The sources of chaos are financial innovation theory misleading and practice confusion, with disregard for the national conditions. It is the only correct way to make the assets management return to the origin and in conformity with the local situation. It' s necessary tot governance of assets management chaos to strengthen financial supervision and maintain the chaotic situation of assets management chaos. At the same time, the theory and regulatory system should be in line with national conditions, financial innovation should be combined with the local reality, the finance should be returned to the origin of the finance, and the regulatory subject should implement its responsibility.

关 键 词:资产管理 金融风险 金融监管 金融创新理论 

分 类 号:F830.9[经济管理—金融学]

 

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