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系统性风险测量方法的研究介绍

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摘要 防范系统性金融风险作为宏观审慎管理的根本目标,在2008年国际金融危机后受到了国内外学者的广泛关注。本文主要就系统性风险的测量方法给出简要介绍,并提出相关建议。
作者 卢露
出处 《商情》 2014年第5期16-16,共1页
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