• Media type: E-Book
  • Title: 避免系統性的金融風險 (Avoiding Systemic Financial Risk)
  • Contributor: Lau, Lawrence J. [Author]
  • imprint: [S.l.]: SSRN, [2017]
  • Published in: IGEF Working Paper ; No. 53
  • Extent: 1 Online-Ressource (17 p)
  • Language: Chinese
  • DOI: 10.2139/ssrn.3009537
  • Identifier:
  • Origination:
  • Footnote: Nach Informationen von SSRN wurde die ursprüngliche Fassung des Dokuments February 15, 2017 erstellt
  • Description: Chinese Abstract: 避免系統性的金融風險,跟一個金融機構怎麼避免它所面對的風險,是兩個不同的概念,最重要的考慮是系統性金融風險裡包含著的“溢出效應”(spillover effect)。本文討論中國現時面對的幾種金融風險:資產價格泡沫的風險、不良貸款的風險、金融衍生產品的風險,以及匯率過度波動性的風險。

    English Abstract: Avoiding systemic financial risk and how a financial institution avoids the risk it is exposed to are two distinct concepts; the most critical consideration is the spillover effect involved in systemic financial risk. This paper discusses a few financial risks China currently confronts: the risks of asset price bubbles, non-performing loans, financial derivatives, and excess exchange rate volatility
  • Access State: Open Access