摘要
本文通过对历史上重大金融风险事件的经验总结,结合当前十九大报告提出的防范化解重大风险的目标,对我国当前金融风险形势进行研判,并提出相应的对策建议。
The thesis studies and judges China current financial risk types and presents its policy suggestions based on the experience summary of historical important financial risk events and also considering the purpose to prevent and alleviate major risks.
作者
郭纲
郭逸然
Guo Gang;Guo Yiran
出处
《财政科学》
2018年第7期112-116,共5页
Fiscal Science
关键词
金融风险
财政风险
风险防范
Financial Risk
Finance Risk
Risk Prevention