摘要
20世纪30年代爆发的世界经济大危机及90年代以来频繁爆发的金融危机,使得各国政府日益高度关注金融体系的安全与稳定运行,金融监管理论的研究也显得日益重要。有鉴于此,本文试图从金融监管的理论基础、演进历程、金融监管体制及国外金融监管的发展趋势等方面,对20世纪以来的金融监管理论作一简要的梳理和评述。
The World Economic Crisis of the 1920's and the financial crises that have frequently occurred since the 1990's make governments of all countries pay great attention to the safety and stable operation of the financial system and the study of financial supervision theory is becoming more and more important. This article aims to give a brief and comprehensive summary of financial supervision theories since the 1920's in terms of theoretical basis, evolving process, system of financial supervision and the developmental trend in foreign countries.
出处
《北京政法职业学院学报》
2008年第3期88-92,共5页
Journal of Beijing College of Politics and Law
关键词
金融监管
演进历程
监管体制
发展趋势
financial supervision
evolving process
supervisory system
developmental trend