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金融机构的稳定性 被引量:1

Financial Institution Stability
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摘要 用系统的观点分析金融稳定性问题,先简介了金融系统的有关概念,比较了金融稳定性和生态学稳定性概念以及金融生态环境与金融系统稳定性的关系,讨论了与金融稳定性有关的问题,论证了金融机构确定模型和随机模型以及具有下临界点L的金融机构模型的稳定性,构建并论述了金融群落、金融群落层级结构系统的稳定性. This paper is used an analytical financial stability problem of the standpoint of systems, first introduced the concepts of financial system, and compared financial stability and ecology stability concepts, and the relation between financial eco-environment and financial system stability, discussed the problem for having relation with financial stability, demonstrated financing institution deterministic model and random model and have the stability of the financing institution model of lower critical point L. Set up and discussed financial coens, the stability of financial coen class structure systems.
出处 《数学的实践与认识》 CSCD 北大核心 2012年第3期45-51,共7页 Mathematics in Practice and Theory
关键词 金融系统 稳定性 金融机构 金融结构 数学模型 financial system stability financial institution financial structure mathematical model
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参考文献5

  • 1廖晓听.稳定性的数学理论及其应用(第二版)[M].武汉:华中师范大学出版社,2001:169.173,373-377.
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同被引文献7

  • 1Begg I. Regulation and supervision offinancial intermediaries in the EU : theaftermath of the financial crisis [J].Journal of Common Market Studies,2009(5).
  • 2Jacopo C,Daniel G, Stefano M. Theglobal financial crisis : causes and cures[J]. Journal of Common Market Stud-ies, 2009 (5).
  • 3Maurice 0. Financial flows, financialcrises,and global imbalances [J]. Jour-nal of International Money and Fi-nance,2012(3).
  • 4Imad M. The myth of too big to fail[J].Journal of Banking Regulation,2010(11).
  • 5Philip R L, Gian M. External adjust-ment and the global crisis [J]. Journalof International Economics, 2012 (2).
  • 6徐明东,刘晓星.金融系统稳定性评估:基于宏观压力测试方法的国际比较[J].国际金融研究,2008(2):39-46. 被引量:51
  • 7简国明.金融系统数学模型的机理分析与控制[J].数学的实践与认识,2011,41(5):1-6. 被引量:4

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