摘要
本文从系统性风险问题的含义、产生原因、主要识别和测度的方法以及系统性风险防范的主要举措等方面开展综述,并提出了今后该领域需要进一步研究的问题,为打好金融风险防范的攻坚战提供理论依据和决策参考。
This article summarizes the systemic risk in ways of the meaning,causes,main methods of identifi cation and measurement,the main prevention measures.It also raised the issues that need to be further studied in this fi eld in the future.It maybe provide theoretical basis and decision-making reference for the battle against fi nancial risks.
出处
《吉林金融研究》
2020年第7期10-14,共5页
Journal of Jilin Financial Research
关键词
系统性风险
识别和测度
风险防范
宏观审慎
systemic risk
identifi cation and measurement
risk prevention
macroprudential