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后危机时期宏观审慎管理框架问题研究 被引量:3

Research on Macro-prudential Management Framework for the Post-crisis Period
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摘要 随着全球经济一体化进程的快速推进,近20年来世界各经济体之间的关联度逐步加强,金融深化日益加深,系统风险也不断累积,并最终导致金融危机的发生。过去以低通胀、高增长为目标的货币政策和财政政策加之以资本监管为核心的微观审慎监管不足以维护整体的金融稳定,需构建由中央银行主导的宏观审慎的管理框架。 Along with the advancement of the economic integration,nearly 20 years the correlation between the world's economies strengthened,financial deepening deepened,and systematic risk also accumulated,all these eventually led to financial crises.The past low inflation and high growth as the goal of monetary policy,fiscal policy and capital regulation as the core of the micro-prudential supervision can not maintain overall financial stability,the macro-prudential management framework dominated by the central bank needs to be constructed.
出处 《区域金融研究》 2011年第7期37-40,共4页 Journal of Regional Financial Research
关键词 金融危机 宏观审慎 中央银行 独立性 Financial Crisis Macro-prudential Central Bank Independence
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共引文献429

同被引文献15

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  • 10王光宇.中央银行在宏观金融稳定中的作用与机制安排[M].

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