期刊文献+

金融自由化进程中的信息不对称与风险防范 被引量:1

下载PDF
导出
摘要 因为金融市场上的信息不对称而产生的逆向选择和道德风险使金融自由化进程中的金融风险加剧;解决金融自由化进程中的信息不对称的主要办法是增加信息的透明度,改变传统的监管方式,加强金融自由化进程中的审慎监管,以消解金融风险的累积和防范金融危机。
作者 向文华
出处 《管理现代化》 CSSCI 北大核心 2004年第3期54-58,共5页 Modernization of Management
  • 相关文献

参考文献10

  • 1Hahm, Joon-Ho, and Frederic S Mishkin 2000. "The Korean Financial Crisis: An Asymmetric information perspective," Emerging Markets Review.
  • 2Folkerts-Landau, David, Schinasi, Garg J ,Cassard, Reinhart, and M G Spencer, 1995, "Effect of Capital Flows on the domestic Financial Sector in APEC Developing Countries," in M S Khan and C M Reinhart, eds. Capital Flows in the APEC Rehion (IMF: WAah D C 1995)P33-57.
  • 3Demetriades, P and B A Fattouh, 1999, "South Korea's Financial Liberalization :An Experiment in Faith," International Affairs, Vol. 75, NO.4,PP.779-92.
  • 4Besanko, D and G Kanatas, 1996, "The Regulation of Bank Capital: Do Capital Standards promote Bank Safety?" Journal of Finance intermediation 5(4), PP.160-83;.
  • 5Blam, J. 1999, "Do Capital Adequacy Requirements Reduce Risks in Banking?" Journal of Banking & Finance 23, PP. 755-771.
  • 6James R Barth, Gerard Caprio Jr , and Ross Levine, 2001, "Bank Regulation and Supervision -What works best?", The World Bank, WPS 2725, PP.12-13.
  • 7Pedro Alba.Leonardo Hernandez and Daniel a klingebiel:1999, "Financial liberalization and the Capital Account -Thailand, 1988-97", The world Bank. WPS 2188.
  • 8James R Barth, Gerard Caprio, Jr. Rosslevine, (1999), "Financial Regulation and Performance-cross-country Evidence. " The world Bank, WPS 2037.
  • 9Stiglitz, Joseph and Andrew weiss, 1981, "Credit Rationing in market with Imperfect information", American Economic Review; Vol. 71. PP.133-52.
  • 10Corsetti, pesenti and Roubini, 1998, "What Caused the Asian Currency and Financial Crises? Partl and Ⅱ ", NBER working paper, No 6833.

同被引文献31

引证文献1

二级引证文献5

相关作者

内容加载中请稍等...

相关机构

内容加载中请稍等...

相关主题

内容加载中请稍等...

浏览历史

内容加载中请稍等...
;
使用帮助 返回顶部