摘要
美国次贷危机引发的金融危机,给全球金融市场带来了极大的危害。本文以次贷为切入口,详细阐述了次贷危机产生升级的过程和原因,从救市计划入手分析了美国在危机产生蔓延后的应对措施,并结合次贷危机分析研究,提出了金融风险管理对策。
The American subprime crisis lends the finanical risk and endangers the global finanical market seriously. In order to gain the experience from the subprime crisis, this paper analyses the process and the causes about the subprime crisis. And then this paper illuminates on how to rescue the finanical market and the maesures after the crisis has expanded throughout the global financial market.Finally, on the basis of studying the American subprime crisis this paper proposes the solutions for the financial risk management.
出处
《财会通讯(下)》
2009年第10期43-47,共5页
Communication of Finance and Accounting
关键词
次贷危机
救市
金融风险
Subprime crisis Rescue on the finanical market Financial risk