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金融脆弱性、不完全信息、制度变迁与金融风险 被引量:8

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摘要 本文通过将金融脆弱性、不完全信息以及制度变迁与金融风险的关系纳入到一个统一的逻辑思维框架体系内,揭示了金融风险理论的创始与发展基本上是沿着一条从“宏观假说”转向寻求“微观基础”、从“静态”转向“动态”的演变路径来进行的。在阐释四者之间内在的逻辑机理的同时,还指出制度金融风险理论与主流金融风险理论必将融和,从而表明转轨经济中的金融风险问题必然成为金融风险理论研究的未来发展方向,后者将在解释前者问题的过程中获得创新与发展的新机遇。
机构地区 东北财经大学
出处 《财经问题研究》 CSSCI 北大核心 2006年第7期30-35,共6页 Research On Financial and Economic Issues
基金 由教育部人文社会科学研究重点项目<区域金融结构优化研究>(批准文号:02JAZ790001)的金融中介理论综述部分 辽宁省社科基金一般项目<辽宁省降低金融风险研究>(批准文号:L03BJY017)的金融风险理论综述部分整理而得
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参考文献17

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二级参考文献58

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