摘要
本文借鉴国内外关于"成熟度模型"的研究,以1978~2008年的广东金融运行数据为研究对象,探讨运用主成分分析法构建广东金融成熟度综合指数,用于刻画广东金融的发展轨迹。研究结果显示,改革开放以来,广东金融成熟度不断提高,并有加速的趋势;广东要进一步提高金融成熟度,必须高度重视证券、保险业的发展,着力调整金融结构,提高金融效率。
With reference to the existing research of "Maturity Model", and financial operation data of Guangdong province from 1978 to 2008, the paper tries to use principal component analysis to set up Guangdong Financial Maturity Composite Index for the purpose of characterizing financial development in Guangdong province. The result shows that since the reform and opening up, financial maturity of Guangdong province has been continuously rising and the trend is accelerating. Finally, the authors propose some policy suggestions for the further improvement of financial maturity of Guangdong.
出处
《金融研究》
CSSCI
北大核心
2010年第3期183-193,共11页
Journal of Financial Research
关键词
金融成熟度
指数
financial maturity, index