摘要
本文运用从社会学、工程学和生态学的研究中所得出的网络理论,来表明国际金融市场表现为一个复杂的、无尺度的和不断进化的网络,并且为了能稳定运行,它具有需要网络式管理的关键特性。本文研究网络这一概念的定义、本质特性及其在金融市场的应用以及对监管的需求和国内国际政治的影响,使用网络分析考察当前的金融危机,并研究最近的金融监管及架构的改革,最后探讨政策对网络分析的影响。
This paper uses network theory from sociology,engineering and ecology to show that international financial markets behave as a complex,scale-free and evolving network,and in order to run stably,it has the key characteristics that require network-style management.This paper studies the defi nition,essential characteristics of the concept of network and its application in fi nancial markets,the need for regulation and the impact of domestic and international politics,and examines the current financial crisis using network analysis,and studies the recent financial regulation and structural reforms,and fi nally,analyzes the impact of policies on network analysis.
出处
《中国经济报告》
2020年第1期77-92,共16页
CHINA POLICY REVIEW
关键词
金融市场
金融危机
网络分析
金融监管
Financial Market
Financial Crisis
Network Analysis
Financial Regulation