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利率市场化过程的风险机制探析
引用本文:邹鹏,沈其强.利率市场化过程的风险机制探析[J].井冈山学院学报,2005,26(6):89-92.
作者姓名:邹鹏  沈其强
作者单位:井冈山学院商学院,井冈山学院商学院 江西 吉安343009,江西 吉安343009
摘    要:以利率管制为中心的金融压抑在实践中产生了严重的负面效应,各国相继掀起了金融自由化运动。但是, 利率市场化是一个伴随风险的制度变迁过程。以利率机制为中心的风险机制在特定条件下具有自我实现、自我加强的倾向与动力。为此,本文对五种主要的风险机制进行了一般性的探讨。

关 键 词:利率管制  利率市场化  风险机制  制度变迁
文章编号:1673-4718(2005)03-0089-04
修稿时间:2005年7月10日

To the Risk Mechanism in the Marketing Process of Interest Rate
ZOU Peng SHEN Qiqiang.To the Risk Mechanism in the Marketing Process of Interest Rate[J].Journal of Jinggangshan University,2005,26(6):89-92.
Authors:ZOU Peng SHEN Qiqiang
Abstract:The financial oppression centering on interest rate control caused a grievous negative reac- tion in the practice.Many country raised a financial liberalization movement one after the other.However, the marketing of interest rate is a system variance process accompanied by risk.Under some specific con- ditions,seven types of risk mechanism which center on the interest rate mechanism have the tendency and drive to realize and strengthen by their own.This paper makes a general study about the five types of risk system.
Keywords:rate interest control  marketing of rate interest  risk mechanism system variance
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