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析混业经营条件下的金融监管 被引量:1

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机构地区 南京审计学院
出处 《金融纵横》 2005年第4期56-58,共3页 Financial Perspectives Journal
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  • 1[1]White,Eugene. Before the Glass-Steagall Act:An Analy sis of the Investment Banking Activties of National Bank[J],Exploration of Economic History, 1986,23:33-35
  • 2[2]Carmichael,Jeffrey.(2000).Financial Regulation in the 21st[J].Journal of Banking and Financial Services.August,pp.32-34
  • 3[3]Goodhart,Charles A.E(1998).Financial Regulation,Why,How and Where now?[M].London.Routledge,in association with the Bank of England
  • 4[4]Linda Allen,Julapa Jagriani.(2000).The Risk Effects of Combining Banking,Securities,and Insurance Activities. Journal of Economics and Business,52,485-497
  • 5Brewer,E.A.,FortierD.and Pavel C.,''Bank Risk from Non-bank Activities,''Economic Perspectives,The Reserve Bank of Chincago,no.12,1988,pp.14-26
  • 6Kroasner,R.S and R.G.Rajan.,''Organization Structure and Credibility:Evidence from Commercial Bank Securities Acitities before the Glass-Steagll Act,Journal of Monetary Economics,vol.39,1997,pp.475-516
  • 7吴晓求.银证合作:中国金融大趋势[J].金融研究,2002(8):19-25. 被引量:37
  • 8张强,曾宪冬.金融混业经营新趋势下设立监管“防火墙”的思考[J].金融研究,2003(9):66-71. 被引量:25

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