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略论我国金融自由化的策略

Analysis to the Strategy of the Financial Liberalization
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摘要 借鉴国外金融自由化的经验和教训,粗略探讨了我国金融自由化的策略,指出金融自由化要与深化市场同步协调,入世后要稳步地、分阶段地推进金融开放战略,要进一步完备宏观经济条件,注重发展综合国力,提高金融风险意识,运用市场化的手段调节监管市场,尤其是金融衍生市场的运行,保持充足的外汇储备和财政储备。同时加强国际合作,改革和完善国际金融体制。 The author gives analysis to the strategy of the financial liberalization in China. We should use the experience abroad for reference. The financial liberalization should be harmonious development with the deepening of market adjustment. After enter the WTO, we should implement the open strategy of finance step by step to implement the macro-economy and put emphasis on the development of the unitary national strength and improve the financial risk sense and adjust the market by itself (especially in the financial market) and keep abundant foreign exchange reserve and financial reserve as well as strengthen the international cooperation and reform and perfect the international financial system at the same time.
作者 朱飞华
出处 《绿色中国(理论版)》 CSSCI 北大核心 2004年第08M期45-46,共2页 Green China
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