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地方政府债务风险防范与监控

发布时间:2018-02-24 22:05

  本文关键词: 地方政府债务 风险 防范体系 出处:《宏观经济管理》2014年07期  论文类型:期刊论文


【摘要】:我国地方政府债务除自身易产生的道德风险、偿还能力不可持续等风险外,其不可控性也给宏观经济带来一定的风险。化解此类风险不但需要建立一套发行前严控、发行后披露、违约方补偿的风险防范体系,而且要采取编制地方政府资产负债表、设立地方人大约束机制、实施信用持续评级、与官员考核挂钩、规范融资平台等一系列政策措施。
[Abstract]:In addition to the moral hazard and unsustainable repayment ability of the local government debt in China, its uncontrollability also brings certain risks to the macro economy. To resolve this kind of risk, it is not only necessary to establish a set of strict control before issue. After issuance, it is revealed that the risk prevention system for compensation of defaulters should be taken to draw up local government balance sheets, set up a binding mechanism for local people's congresses, implement continuous credit ratings, and be linked to officials' assessment. Standardize financing platform and a series of policy measures.
【作者单位】: 东北师范大学;
【分类号】:F812.5

【参考文献】

相关期刊论文 前3条

1 马海涛,吕强;我国地方政府债务风险问题研究[J];财贸经济;2004年02期

2 龚强;王俊;贾s,

本文编号:1531887


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