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基于稳定发展视角的银行监管效果分析 被引量:3

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摘要 结合全球101个国家银行发展和67个国家银行稳定的数据,以实现银行业的稳定可持续发展为银行监管目标,根据收入水平和IMF原则将样本国家分为五类,分析了代表性监管措施对不同收入水平国家和地区的监管效果。实证研究表明,中高收入国家的银行业务活动监管、外部治理和资本监管同时可以实现银行业稳定可持续发展;中低收入国家过高的业务活动限制和资本监管不利于银行业发展,金融集团控制和监管独立性反而会增加不稳定性;低收入国家过高的业务活动限制和资本监管水平不利于银行业稳定发展,外部治理和官方监管权力更有利于实现银行监管目标。
出处 《财经问题研究》 CSSCI 北大核心 2011年第6期63-68,共6页 Research On Financial and Economic Issues
基金 国家自然科学基金项目"全球化条件下中国新型金融监管体系构建及其有效性研究"(70973028)
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  • 1孙月静.股份制商业银行公司治理绩效的实证分析[J].财经问题研究,2006(3):29-34. 被引量:39
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