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随着经济全球一体化程度不断加深,各国经济关系越来越紧密。为了提高资金使用效率、增强本国金融机构竞争力,各国竞相进行金融自由化改革。金融自由化一定程度上能促进经济发展,但同时有也可能导致危机。因此在金融改革深化过程中有效地管理金融风险、防范金融危机发生至关重要。本文基于金融危机成因和我国金融业风险的特征分析之上,对我国经济改革下的金融危机防范措施进行了研究。
With the deepening of economic globalization, the economic relations among various countries are getting closer and closer. In order to improve the efficiency of capital utilization and enhance the competitiveness of their financial institutions, various countries are competing for the reform of financial liberalization. Financial liberalization to some extent can promote economic development, but at the same time may also lead to crisis. Therefore, it is very important to effectively manage financial risks and prevent financial crises during the deepening of financial reform. Based on the analysis of the causes of the financial crisis and the characteristics of China’s financial industry risk, this paper studies the preventive measures against financial crisis under the economic reform of our country.