首页 | 本学科首页   官方微博 | 高级检索  
     

资产证券化风险预警系统的构建
引用本文:刘艳玲. 资产证券化风险预警系统的构建[J]. 河北科技大学学报, 2008, 29(3): 260
作者姓名:刘艳玲
作者单位:同济大学经济与管理学院,上海,200092
摘    要:为了对资产证券化风险进行有效控制,需要建立一个灵敏、有效的实时风险预警系统,及时察觉风险隐患。证券化风险预警系统主要由3个模块构成:风险识别分析模块、风险预警处理模块、风险对策模块。3个模块的科学运作,能够有效识别和度量证券化风险,减少风险损失。

关 键 词:资产证券化  风险  预警
收稿时间:2008-04-07
修稿时间:2008-05-04

Construction of asset securitization risk early warning system
LIU Yan-ling. Construction of asset securitization risk early warning system[J]. Journal of Hebei University of Science and Technology, 2008, 29(3): 260
Authors:LIU Yan-ling
Affiliation:School of Economics and Management, Tongji University, Shanghai 200092,China
Abstract:In order to control the asset securitization risks,we need to set up a sensitive real-time risk early warning system to detect risks.The securitization risk early warning system is made up of risk discerning and analysis subsystem,early warning subsystem,and risk countermeasure subsystem.These three subsystems can identify and measure securitization risks,so as to decrease the risk loss.
Keywords:asset securitization  risk  early warning  
本文献已被 CNKI 维普 万方数据 等数据库收录!
点击此处可从《河北科技大学学报》浏览原始摘要信息
点击此处可从《河北科技大学学报》下载全文
设为首页 | 免责声明 | 关于勤云 | 加入收藏

Copyright©北京勤云科技发展有限公司  京ICP备09084417号