摘要
在建立金融风险监测指标体系的基础上 ,运用因子分析方法分析了 2 0世纪 90年代以来我国金融风险历程 ,评析了在历次的金融风险中 ,国家采取注资、剥离不良资产、转制、清产核资等化解措施 ,探索了在我国金融风险产生的根源 ,提出了从根本上解决金融风险的策略 .
The indicator system of financial risk monitoring was built in this paper. The course of financial risk was analyzed in detail with factorial analysis since 1990 in Chinese mainland. The measures that used to deal with all previous financial risk were reviewed such as inpouring financial capital, peeling off nonperforming assets, reforming system, liquidating assets and so on. Also, this paper searched after the root of financial risk and put forward the strategies to solve financial risk radically.
出处
《中南民族大学学报(自然科学版)》
CAS
2005年第1期88-91,共4页
Journal of South-Central University for Nationalities:Natural Science Edition
基金
财政部课题"宏观金融风险与政府财政责任"
关键词
金融风险
因子分析
评价
策略
financial risk
factorial analysis
review
strategies