摘要
由于我国经济发展的不平衡,金融集聚在各区域发展的速度和程度存在明显的差异。由于评价金融集聚的指标体系存在不足,不能真实反映金融集聚的真实情况。因此,从金融业的细分入手,选取具有代表性的指标构建金融集聚的衡量指标体系,运用因子分析方法计算各省市的分行业集聚度,进而得到全国各省市金融集聚度。最后根据实证的研究结果提出了改善金融集聚的政策建议。
Due to the imbalance have obvious differences in the of economic development of speed and extent of regional tern of financial agglomeration problems, can not reflect the our country, the financial agglomeration development. The evaluation index sysreal situation of financial agglomeration. Therefore, from the perspective of the financial industry subdivision, the representative indicators of financial agglomeration index system by calculating various provinces and cities, industry factor analysis method of agglomeration, and the various provinces and cities nationwide financial agglomeration degree. Finally, according to empirical results are proposed to improve the financial agglomeration policy recommendations.
出处
《求是学刊》
CSSCI
北大核心
2014年第4期52-58,共7页
Seeking Truth
基金
吉林省社会科学基金项目"吉林省建设区域金融中心的实证研究"
项目编号:2014BS41
关键词
金融集聚
指标体系
因子分析
financial congregation
index system
factor analysis