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我国股票价格指数期货的风险分析与防范 被引量:1

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作者 李伟
出处 《统计与决策》 北大核心 2001年第8期29-30,共2页 Statistics & Decision
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同被引文献17

  • 1王周伟.从风险特性看中国股指期货市场的稳定机制建设[J].上海金融,2007(8):52-54. 被引量:3
  • 2Faerman,S.R,McCaffrey,D,P,Van Slyke,D.M. Understanding Inter-Organizational Cooperation:Public-Private Collaboration in Regulating Financial Market Innovstion[J].Organization Science,2001,(03):372-388.
  • 3Picciotto S,Haines J. Regulating Global Financial Markets[J].Journal of Law and Society,1999,(03).
  • 4Briault,C. The Rationale for a Single National Financial Services Regulator[A].Financial Services Authority,London,1999.
  • 5Briault,C. Revisiting the Rationale for a Single National Financial Services Regulator Special Paper 135[R].London School of Economics,2002.
  • 6Mwenda,K.K,Mvula,J.M. A Framework for Unified Financial Services Supervision:Lessons from Gerany and other European Countries[J].Journal of International Banking Regulation,2003,(01):35-56.
  • 7Kremers,J.J.M,Schoenmaker,D,Witerts,P.J. CrossSetor Supervision which Model[J].Brookings-Wharton Papers on Financial Serrvices,2003,(06):566-581.
  • 8Baxter M,Rogers M. Australian Regulator Leads Call for Cross-Sector Supervision[J].International Financial Law Review,2004,(11).
  • 9Masciandaro D. Unification in Financial Sector Supervision:The Trade-Off between Central Bank and Single Authority[J].Journal of Financial Regulation and Compliance,2004,(02):151-169.
  • 10王春峰.股票与股指期货市场风险关联及跨市场监管研究[N]上海证券报,2007.

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