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论金融监管中微观审慎与宏观审慎的平衡——国际金融危机的教训和启示 被引量:5

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摘要 此次全球金融危机对传统的、以金融机构偿付能力为基础、强调单个金融机构个体稳健的金融监管理念和实践提出了挑战。危机的爆发和迅速蔓延表明,微观审慎监管的偏差和宏观审慎监管的缺位是今后一段时期需要着力解决的重大问题。因此,应进一步完善微观审慎监管的政策和工具,扩大监管范围,建立统一的系统性风险防范机构,并有效降低金融监管的顺周期性。
作者 杨晓妮
出处 《华北金融》 2010年第9期29-31,共3页 Huabei Finance
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参考文献8

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同被引文献41

  • 1吴婷婷,余锐.金融监管边界分析:对成本-收益分析法的质疑及新方法的提出[J].特区经济,2004(12):209-210. 被引量:7
  • 2辜朝明.大衰退--如何在金融危机中幸存和发展[M].北京:东方出版社,2008年11月.
  • 3Acharya,Viral, V., 2009. A Theroy of Systemic Risk and Design of Prudential Bank Regulation[J]. Journal of Financial Stability,5:224-255.
  • 4Allen, Franklin, Ana, Babus, and Elena, Carletti, 2010. Financial Connections and Systemic Risk[ R ]. NBER Working Paper, No.16177.
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  • 6Borio, Claudio, and Drehmann, Mathias, 2009. Towards an Operational Framework for Financial Stability[R]. Central Bank of Chile Working Papers, No.544.
  • 7Borio, Claudio, 2003. Towards a M acroprudental Framework for Financial Supervision and Regulation[ R ]. BIS Working Papers, No.128.
  • 8Brunnermeier, and Markus, K.,2009. Deciphering the 2007~2008 Liquidity and Credit Crunch[ J ]. Journal of Economic Perspectives, 1 : 77- 100.
  • 9Caruana,J., 2010. Macroprudential Policy:Working Towards a New Consensus, Remarks at the High-level Meeting on "The Emerging Frame- work for Financial Regulation and Monetary Policy",Jointly Organised by the BIS's Financial Stability Institute and the IMF Institute [EB/OLI. Washington DC, 23 April. http ://www.bis.org/speeehes/sp100426.pdf.
  • 10Diamond,Douglas,W. ,and Dybvig,Philip,H., 1983. Bank Runs,Deposit Insurance and Liquidity[J].Journal of Pohtical Economy, 3:401-419.

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