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我国金融脆弱性的诠释及控制对策

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摘要 本文认为要解释和降低我国的金融脆弱性,必须使一般性理论解释和特殊原因相结合,并在此基础上形成从制度框架去强化金融体系的核心思路。
出处 《商业时代》 北大核心 2009年第11期90-91,共2页 Commercial
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