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系统性金融风险的传导机理分析--基于公司治理的视角 被引量:6

An Analysis of Systematic Financial Risk Transmission Mechanism——Based on Corporate Governance Perspective
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摘要 本文基于公司治理视角、从金融风险的微观机理入手,研究系统性金融风险的产生和传导机制、风险累积以及危机爆发的全过程,构建了系统性金融风险的全新理论框架,为及早发现和诊断金融体系中出现的问题以及理解和防范金融危机提供了具有科学价值的理论指导。 Based on corporate governance perspective and starting with micro mechanism of financial risk, this paper studies the development and transmission mechanism of systematic financial risk, risk accumulation and the whole process of financial crisis, creates a new theoretical framework of systematic financial risk. The paper provides theoretical guidance which has scientific value for early finding and diagnosing problems of financial system and understanding and guarding against financial risk.
作者 曹廷求 王可 Cao Tingqiu Wang Ke
出处 《公共财政研究》 2017年第1期4-19,共16页 Public Finance Research Journal
基金 国家社科基金重大项目“系统性金融风险防范与监管协调机制研究”(12&ZD069) 国家自然科学基金项目“治理风险导向的商业银行公司治理研究:理论发展与机制耦合”(71272119)阶段性研究成果
关键词 金融风险 公司治理 传导机理 fi nancial risk corporate governance transmission mechanism
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