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金融系统中的流动性危机及监管启示——基于美国次贷危机的理论分析

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摘要 本文通过阐述金融体系中流动性的意义及流动性风险的来源,证明2008年的次贷危机实质上是一次流动性危机,进而阐明这次流动性危机的出现源于高度杠杆化和大量短期债务的使用。在此基础之上,本文进一步探讨了流动性监管的相关措施,说明流动性覆盖率监管以及净稳定融资比例监管对防范流动性危机有积极意义。
作者 龚雅娴
出处 《经济研究参考》 北大核心 2015年第28期34-40,共7页 Review of Economic Research
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