摘要
建立一个科学适用的区域金融稳定评价指标体系,是预防和化解区域风险的关键。从我国的实际情况出发,创建区域金融稳定评价指标体系,应遵循全面性、准确性、科学性、互补性和显著性等原则,其基本架构应由核心指标和相关指标两个部分组成。同时还需要优化区域金融运行环境,建立高效的评价指标信息系统,强化区域性金融监管。
It is the key to prevent and release financial risks to build a scientific applicably system of evaluating index for the stability of regional finance. China needs a comprehensive, accurate, scientifically designed, complementary and remarkable evaluating index system for its regional financial stabilization. The basic frame of the system can be made up with two parts of indexes——core indexes and correlative indexes. The regional finance stabilization will also depend the improvement of financial environment, the enhancement of supervision of regional finance and the establishment of an efficient information system.
出处
《财经理论与实践》
CSSCI
北大核心
2005年第5期54-59,共6页
The Theory and Practice of Finance and Economics
关键词
区域金融稳定
核心指标
相关指标
金融环境
Regional Finance Stabilization
Core Index
Correlative Index
Finance Circumstance