摘要
本文从金融创新与金融监管的辩证关系出发,结合模型实例阐述了金融创新风险的形成机理及其类型,并概述了经济金融一体化背景下这些风险的系统性、传染性和潜伏性特征,从而提出复杂环境下我国金融监管改革的方向和措施。
This article starts with the dialectical relationship between financial innovation and financial regulation.It states the formation mechanism and types of financial innovation risk with empirical models.This paper analyzes its systemic,infectious and latent characteristics in the context of economic integration.Furthermore,it proposes the future direction and measures for Chinese financial regulation reform in the complex environment.
出处
《金融发展研究》
2010年第11期3-6,共4页
Journal Of Financial Development Research
关键词
金融创新
衍生品交易
金融风险
金融监管
financial innovation
derivatives transaction
financial risk
financial regulation