地方政府债券市场优化策略研究  

Research on Optimization Strategy of Local Government Bond Market

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作  者:刘洋[1] LIU Yang(School of Continuing Education,Guizhou University of Finance and Economics,Guiyang,Guizhou Province,550000 China)

机构地区:[1]贵州财经大学继续教育学院,贵州贵阳550000

出  处:《科技资讯》2022年第10期122-124,共3页Science & Technology Information

摘  要:改革开放带动了我国的综合国力提升,也带动了地方经济的腾飞。但是地方债券市场在高速经济发展下存在一些风险,需要地方政府积极监管,采取优化策略提高地方债券市场抗风险能力。该文先介绍了地方债券市场的基本内涵、属性和类型,然后从多角度介绍了提高地方政府债券市场管理水平的优化策略,并从宏观角度深究了政府债券管理的方法论。The reform and opening up has not only driven the improvement of China's comprehensive national strength,also led to the takeoff of local economy.However,there are some risks in the local bond market under the rapid economic development,which requires the local government to actively supervise and adopt optimization strategies to improve the anti risk ability of the local bond market.This paper first introduces the basic connotation,attributes and types of local bond market,then introduces the optimization strategies to improve the management level of local government bond market from multiple angles,and probes into the methodology of government bond management from a macro perspective.

关 键 词:地方政府 债券市场 优化策略 管理水平 

分 类 号:F832.51[经济管理—金融学]

 

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