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完善风险防范机制和加强风险管理措施的建议

发布时间:2018-07-05 08:52

  本文选题:财政金融风险 + 现代财政制度 ; 参考:《经济研究参考》2015年09期


【摘要】:我国第十二个五年规划面临结束,第十三个五年规划即将开启。在这个关键时期,党的十八届三中全会揭开了我国全面深化改革的序幕,中国经济将进入"新常态"。为了贯彻落实党的十八届三中全会的方针政策,保障经济社会稳定健康可持续发展,正确判断我国财政金融发展态势,分析"十三五"时期财政金融所面临的主要风险,揭示财政金融风险演化的主要因素,把握财政金融风险作用机理和潜在影响,提出完善风险防范机制和加强风险管理措施的建议是非常必要的。
[Abstract]:The twelfth five-year plan of our country faces the end, the 13 th five-year plan is about to open. In this critical period, the third Plenary session of the 18th CPC Central Committee opened the prologue of China's comprehensive deepening reform, and the Chinese economy will enter the "new normal". In order to carry out the principles and policies of the third Plenary session of the 18th CPC Central Committee, guarantee the stable, healthy and sustainable development of the economy and society, correctly judge the development situation of our country's finance and finance, and analyze the major risks faced by the finance and finance during the 13th Five-Year Plan period, It is necessary to reveal the main factors of the evolution of financial and financial risks, grasp the mechanism and potential effects of fiscal and financial risks, and put forward some suggestions to improve the risk prevention mechanism and strengthen the risk management measures.
【分类号】:F812.2;F832.3


本文编号:2099661

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