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证券业流动性风险管理探析

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摘要 巴塞尔协议III的出台,将流动性风险监管提到了与资本监管相同重要的位置.随着创新的发展和深化,新业务和新产品不断引入,证券公司业态和资产负债结构日趋复杂化,杠杆率也不断上升.本文旨在结合具体实务工作的基础上,探讨证券业流动风险管理的难点及可能的解决方法.
作者 阮斐
出处 《经济视野》 2014年第16期103-103,105,共2页 Economic Vision
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