统计研究 ›› 2005, Vol. 22 ›› Issue (10): 72-7.

• 论文 • 上一篇    下一篇

金融监管效应的统计评价方法

张梅琳   

  1. 上海大学
  • 收稿日期:1900-01-01 修回日期:1900-01-01 出版日期:2005-10-15 发布日期:2005-10-15

  • Received:1900-01-01 Revised:1900-01-01 Online:2005-10-15 Published:2005-10-15

Abstract: Abstract:This article pays great attention to explore statistical methods to regulation's effect. It forwards the methods that are explored in detail evaluate financial supervision and regulation's effect. analyze financial supervision and on base of Complexity Theory to evaluate financial supervision and regulation's effect.