摘要
金融危机的爆发,使得原来大多以利润最大化标准作为衡量依据关于金融机构公司治理方面的研究已不合时宜。与非金融机构不同,金融机构面临诸多约束和管制,衡量金融机构的公司治理及其表现需要有另一套标准和方法。
Most research on the corporate governance of financial institutions has adopted the typical value-maximization approach.After the outbreak of the financial crisis,such approach is obviously outdated.Unlike non-financial institutions,financial institutions are facing many restrictions and regulations,and measures of their corporate governance should thus be reconsidered.
出处
《金融市场研究》
2012年第6期104-114,共11页
Financial Market Research
关键词
金融机构
公司治理
董事会
信息约束
金融监管
financial institutions,corporate governance,board of directors,constrained information disclosure,financial regulation