统计研究 ›› 2000, Vol. 17 ›› Issue (4): 3-11.

• 论文 •    下一篇

中国金融风险与经济稳定发展

《中国金融风险与及经济稳定发展》课题组   

  • 出版日期:2000-04-15 发布日期:2012-02-14

Financial Risks and Stable Economic Development in China

Research Team Under the Research Institute of Statistical Sciences   

  • Online:2000-04-15 Published:2012-02-14

摘要: 在本项研究中,金融风险是指宏观层次上的风险,是指引发整个金融系统出现严重动荡不稳的可能性,诸如存款挤兑、金融企业倒闭、汇率急剧波动、恶性通货膨胀等等。金融风险的不断增大已经成为我国经济中突出问题,进一步发展下去将会对我国经济的持续稳定发展构成严重威胁。如何采取有效措施,尽快化解我国经济中的金融风险,已成为当前迫切需要解决的问题。

Abstract: Through the classification of financial risks, authors draw the outline of China’s financial risks, and make a series of researches, which include the relation between financial risks and economic stabilization, the principles and measures against the financial risks.