摘要
国际金融市场一体化程度的提高要求各国在金融监管中加强国际协调与合作,但是由于实际经济和金融发展水平的差异,各方在具体的合作中往往表现出不同的要求。由于美国超强的综合实力,现有的以美元和美国为主导的国际金融体系在短期内不会根本改变。在这种情况下,最可行的方法是建立由双边治理、地区多边治理和全球多边治理构成的国际多边治理机制。
The improvement of the level of integration in the international financial market required to strengthen international cooperation and coordination in financial supervision. But because of the differences of actual economic and financial development level, each side in concrete cooperation often shows different requirements. Owing to the strong comprehensive strength, the existed international financial system dominated by dollars in the short-term won't be changed fundamentally. In this case, the feasible method is to establish a international multilateral governance mechanism constituted by bilateral governance, multilateral governance among areas and global multilateral governance.
出处
《福建行政学院学报》
2009年第3期93-97,108,共6页
Journal of Fujian Administration Institute
关键词
国际金融
监管体制
多边治理
International finance
Supervision system
Multilateral governance