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我国存款准备金率和利率影响银行风险的实证研究 被引量:4

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摘要 以法定存款准备金率、一年期贷款基准利率作为货币政策工具的代表,以不良贷款率衡量银行风险,利用2003年至2012年的季度数据,构建面板回归模型,检验我国货币政策对国有银行、股份制银行和城市商业银行风险的影响。结果表明:法定存款准备金率对三类银行的风险均有显著的负向影响,一年期贷款利率对三类银行的风险均具有正向影响。一年期贷款基准利率与法定准备金率对三类银行的风险的影响存在差异。鉴于此,商业银行自身、货币当局和监管当局应该采取措施,降低银行风险,保持金融体系稳定。
出处 《征信》 北大核心 2013年第6期78-81,共4页 Credit Reference
基金 国家自然科学基金项目(71103048)
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参考文献16

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