摘要
我国转轨时期的金融风险是以制度风险为主导 ,以股市风险、国际金融风险、国有经济金融风险为重点的特殊风险群体。它要求在制定金融风险防范决策中 ,必须以制度变革为先导 ,消除产生金融风险的制度基础 ,以防范股市风险、国际金融风险和国有经济金融风险为重点 ,作出正确的政策选择 。
The financial risk during the transformation period of China requires that in making the policy for prevention of financial risk, the reform of the system take the lead in eliminating the basis for financial risk, prevent stock risk, international financial risk and financial risk of the state economy, and make a correct choice of policy, so that sustainable safety of finance, economic safety and the state safety can be guaranteed.
出处
《渝州大学学报(社会科学版)》
2002年第2期13-16,共4页
Journal of Yuzhou University(Social Sciences Edition)
关键词
金融风险
风险防范
政策选择
financial risk
prevention of risk
choice of policy