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商业银行风险承担:“互联网+金融”创新悖论与量化检验——基于互联网金融发展案例研究 被引量:1

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摘要 当前我国金融行业处于广义互联网金融创新迅速扩张阶段,同时也是以银行为代表的传统金融机构被动融合互联网金融战略的转型阶段,这一阶段体现的金融运行新常态显著地改变了商业银行风险承担的传统路径。基于互联网金融创新视角,在控制外部相关因素的情形下,以货币市场基金增长、融资融券增长和银行理财产品波动为代表的互联网金融创新因素均显著提升了银行潜在风险的承担水平,这一经验结果直接为文章提出的金融创新悖论提供了经验证据。
作者 李文峰 贾鹏
出处 《新金融》 北大核心 2015年第B12期56-61,共6页 New Finance
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参考文献4

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