期刊文献+

我国资产证券化监管体系变迁研究及发展建议

下载PDF
导出
摘要 本文整理并回溯了我国资产证券化相关监管制度的变迁历史,分析了目前资产证券化业务的监管体系,并在此基础上提出了未来资产证券化业务的发展建议。
作者 张晴 叶梦澜
出处 《现代商业》 2017年第10期96-97,共2页 Modern Business
  • 相关文献

二级参考文献44

  • 1李文泓.资产证券化的资本充足率框架及其对我国的启示[J].金融研究,2005(8):99-111. 被引量:30
  • 2[美]辜朝明,喻海翔译.大衰退-如何在金融危机中幸存和发展[M].北京:东方出版社,2008.
  • 3Federal Reserve Board of Governors. Report to the Congress on Risk Retention, 2010, October 15.
  • 4Keys, Benjamin J., and Tanmoy K. Mukherjee, and Amit Seru, and Vikrant Vig. Did Securitization Lead to Lax Screening? Evidence from Subprime Loans. Quarterly Journal of Economics, 2010, 125 (1).
  • 5Piskorski, Tomasz, and Amit Seru, and Vikrant Vig. Securitization and Distressed Loan Renegotiation: Evidence from the Subprime Mortgage Crisis. Chicago Booth School of Business Research Paper No. 09-02, 2010, April 15.
  • 6Barrett, R and John Ewan. BBA Credit DerivativesReport 2006[R/OL]. British Bankers’Association,London, 2006, In http://www.bba.org.uk.
  • 7Reinhart, Calmen and Kennerth S Rogoff. Is the2007 Subprime Financial Crisis So Different- An InternationalHistorical Comparison[C]. Feb. Draft, 2008.
  • 8Bervas A. Financial Innovation and the LiquidityFrontier[R]. Banque de France, Financial StabilityReview-Special issue on liquidity, 2008, No. 11, February.
  • 9Lehar, Alfred. Measuring Systemic Risk: ARisk Management Approach[J]. Journal of Banking andFinance. 2005 (29):2577-2603.
  • 10Brunnermeier, Markus K. Deciphering the2007-2008 Liquidity and Credit Crunch[J]. Journal ofEconomic Perspectives. 2009 (1):77-100.

共引文献38

相关作者

内容加载中请稍等...

相关机构

内容加载中请稍等...

相关主题

内容加载中请稍等...

浏览历史

内容加载中请稍等...
;
使用帮助 返回顶部