摘要
2012年是我国的经济发展方式的转型之年,也是我国资本市场的"改革"和"创新"之年,金融创新将对证券业的发展方向产生较大影响,证券业务的创新将成为证券公司发展、构筑核心竞争力的重要手段。如何结合境外发达证券市场的发展经验推进中国证券业经营模式的创新与转型,如何在创新发展过程中做好风险防范,是十分重要的问题。
2012 is the year of China's transformation of economic developing mode, and also the year of "reforming" and "innovating" China's capital market. Financial innovation will have a greater impact on the development direction of the securities industry. The innovation of securities business will be an important means to build the core competitiveness of securities companies. This paper will explore how to advance China's securities industry on the basis of studying the experience of securities markets in developed countries. Meanwhile, the innovation process will inevitably encounter risks, which will also be discussed in the end of the paper.
出处
《中国浦东干部学院学报》
2012年第3期5-9,共5页
Journal of China Executive Leadership Academy Pudong
关键词
证券公司
创新
风险管理
securities companies, innovation, risk management