金融危机后的国际金融监管合作及中国的政策选择
发布时间:2018-02-05 21:55
本文关键词: 金融危机 金融监管 合作 政策选择 出处:《管理世界》2011年04期 论文类型:期刊论文
【摘要】:本文阐述了美国金融危机对全球银行业的影响,提出中国政府和金融监管部门应借鉴美、英、欧盟金融监管改革的新经验,在新形势下积极进行政策调整,重构中国金融监管体系框架,完善中国金融监管法律制度,加强跨境金融机构监管,增强政府处理金融危机的能力,积极加强与国际金融组织和各国金融监管机构的协调与合作,以保证中国的金融安全。
[Abstract]:This paper expounds the impact of the American financial crisis on the global banking industry, and points out that the Chinese government and the financial regulatory authorities should learn from the new experience of the financial supervision reform of the United States, Britain and the European Union and actively carry out policy adjustments under the new situation. Reconstructing the framework of China's financial supervision system, perfecting the legal system of China's financial supervision, strengthening the supervision of cross-border financial institutions, and enhancing the government's ability to deal with financial crises. Actively strengthen coordination and cooperation with international financial organizations and financial regulatory agencies of various countries in order to ensure China's financial security.
【作者单位】: 东北财经大学金融学院应用金融研究中心;
【基金】:教育部人文社科规划项目“危机后的国际银行业竞争格局新变化与中国银行业发展战略选择”(10YJA790128)资助。课题主持人:路妍
【分类号】:F831;F832.1
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本文编号:1492862
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