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银行脆弱性理论及其最新进展 被引量:5

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摘要 根据不同时期银行脆弱性状况和经济理论,西方学者对银行脆弱性发生的原因和机制给出了多种解释,得出了不同的理论和观念。具有代表性的观点主要有:从信息不对称角度解释的银行机构的内在脆弱性理论,从存款人行为角度解释的银行挤提模型理论,从金融主体角度解释的有限理性理论,从金融资产价格角度解释的内在波动性理论等。本文重点介绍这几种理论。
作者 陈华
出处 《经济学动态》 CSSCI 北大核心 2006年第1期74-78,共5页 Economic Perspectives
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