中国与中亚国家金融合作面临的主要风险及应对策略  被引量:1

Main Risks in the Financial Cooperation between China and Central Asian Countries and Countermeasures

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作  者:刘琦平 赵亚琼 LIU Qi-ping;ZHAO Ya-qiong(School of International Trade and Economics,Xinjiang University of Finance and Economics,Urumqi 830012,China;Urumqi Central Sub-branch of the People's Bank of China,Urumqi 830002,China;School of Economics and Management,Xinjiang University,Urumqi 830046,China)

机构地区:[1]新疆财经大学国际经贸学院,乌鲁木齐830012 [2]中国人民银行乌鲁木齐中心支行,乌鲁木齐830002 [3]新疆大学经济与管理学院,乌鲁木齐830046

出  处:《安徽商贸职业技术学院学报》2020年第3期29-34,共6页Journal of Anhui Business College

基  金:教育部国别和区域研究项目及新疆大学中亚研究院配套资助项目(ZYYJY2017001);新疆维吾尔自治区自然科学基金项目(2017D01C032);新疆大学经济与管理学院丝路基金项目(JGSL17006)。

摘  要:中亚国家作为推进丝绸之路经济带建设的重要地区,与中国经贸关系日益加深,对金融合作的内在诉求不断加强,但也面临诸多风险,如经济不稳定风险、金融自身风险、地缘政治风险及疫情冲击风险。因此,应强化顶层设计,有效减轻地缘政治风险对金融合作的影响;加强风险监控,建立完善风险预警研判机制;提升经贸合作质量,积极营造良好的金融对接环境;增强企业应对金融风险尤其是汇率风险的能力和水平,等等。Central Asian countries,as an important region to promote the construction of the Silk Road Economic Belt,see more needs to have financial cooperation with China,due to the deepening business relations between the two.However,there are also many risks in their cooperation,such as the economic instability,financial risk,geopolitical risk and the spread of pandemics.Therefore,it is suggested that Chinese government should strengthen the top-level design,to effectively reduce the impact of geopolitical risks on financial cooperation;strengthen risk supervision by establishing and improving risk pre-warning and judgment mechanism;and improve the quality of economic and trade cooperation to actively create a good financial cooperation environment.It is also suggested that Chinese enterprises should enhance their ability and level to deal with financial risks,especially the exchange rate risk.

关 键 词:中亚国家 金融合作 风险 顶层设计 金融对接环境 

分 类 号:F832[经济管理—金融学] F125

 

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