金融风险爆发与风险性金融监管  

On Financial Risk Outbreak and Supervision over Risk Finance

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作  者:蒋频元[1] 

机构地区:[1]中国人民银行中山市中心支行,广东中山528403

出  处:《河南金融管理干部学院学报》2003年第6期53-54,共2页Journal of Henan College of Financial Management Cadres

摘  要:近年来,由外部因素而导致的金融风险不断发生,而且危害非常严重。国内外大量有关此类金融风险的案例无不表明,要防范和化解这些风险,必须注意做好以下方面的工作:金融监管过程中的保密工作不容忽视;权威人士有关金融的言论必须慎之又慎;应选择合理时机出台重大金融政策;加强舆论导向、维持公众信心;对牵涉到金融机构的纠纷事件要妥善协调处理,谨防发生过激行为等。In recent years, financial risks caused by external factors have taken place contuously, resulting in very serious perils. Many such financial risk cases domestic and abroad suggest that in order to cover and dissolve these risks attention must be paid to the following doings: security work in financial regulation deserves no neglect; words and remarks from authorities must be prudent; significant financial policies must be chosen to be promulgated in a reasonable time; Public opion guidance must be strengthened, and public confidence must be rnaitained; Dispute incidents involved by financial institutions have to be properly dealt with; Too drastic behavior is to be prevented from happening.

关 键 词:金融风险 金融监管 中国 金融机构 金融体制 金融政策 

分 类 号:F832.1[经济管理—金融学]

 

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