当前位置:主页 > 经济论文 > 银行论文 >

基于资本市场风险下我国金融安全路径建设研究

发布时间:2018-07-23 10:07
【摘要】:经济新常态下,资本市场的收益直接关系到其他经济部门的资金成本,而资本市场的稳定性直接关系到经济增长的平稳性与可持续性。通过梳理经济新常态下资本市场的基本特征,发现尽管宏观经济运行相对平稳,但资本市场的风险程度进一步增加。分析表明,资本市场的风险主要来自经济新常态下制度建设的滞后和不完善。由此,为保障我国的金融安全,降低金融市场风险,要结合供给侧改革,引导资金"脱虚向实";维持金融政策的稳定性,调节资本市场情绪;加强法规制度建设,落实市场监管;规范金融衍生品工具,积极进行政策创新;引导投资者正确认识市场风险,合理进行投资决策。
[Abstract]:In the new normal state of economy, the income of the capital market is directly related to the capital cost of other economic sectors, and the stability of the capital market is directly related to the stability and sustainability of economic growth. By combing the basic characteristics of the capital market under the new normal state of economy, it is found that although the macroeconomic operation is relatively stable, the risk degree of the capital market increases further. The analysis shows that the risk of capital market mainly comes from the lag and imperfection of institution construction under the new normal state of economy. Therefore, in order to ensure our country's financial security and reduce the financial market risk, we should combine supply-side reform to guide the funds to "move away from reality", maintain the stability of financial policies, regulate the mood of the capital market, and strengthen the construction of laws and regulations. Implement market supervision; standardize financial derivatives tools; actively carry out policy innovation; guide investors to understand market risks correctly and make rational investment decisions.
【作者单位】: 上海财经大学经济学院;
【分类号】:F832.51

【相似文献】

相关期刊论文 前10条

1 张善坤,许启金;推进浙江省资本市场发展的对策研究[J];财经论丛(浙江财经学院学报);2000年04期

2 张兴明;中国资本市场的发展现状与构建方略[J];财经问题研究;2000年06期

3 刘恒,张,

本文编号:2139057


资料下载
论文发表

本文链接:https://www.wllwen.com/jingjilunwen/huobiyinxinglunwen/2139057.html


Copyright(c)文论论文网All Rights Reserved | 网站地图 |

版权申明:资料由用户438e2***提供,本站仅收录摘要或目录,作者需要删除请E-mail邮箱bigeng88@qq.com