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金融风险顺周期效应的实证研究 被引量:11

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摘要 在一般意义上,金融风险是顺周期的。特别是金融行为的"有效理性"、金融创新滥用和监管不当导致金融失衡,并形成高度非线性的"过度顺周期性"。因此,对于金融风险顺周期效应的研究有助于我们深入把握金融运行的规律,科学预测和应对经济周期,有效防范金融风险。本文结合我国经济实际,对经济的周期性波动导致金融风险产生的机理进行相关经验分析和理论探讨,并对二者新型和谐关系的建立提出相关政策建议。
作者 吴正光
出处 《金融理论与实践》 北大核心 2009年第9期27-31,共5页 Financial Theory and Practice
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