haku: @journal_id 725 / yhteensä: 120
viite: 92 / 120
Tekijä:Ni, Chuimei
Otsikko:On the main risks of China's stock market and their prevention (original in Chinese)
Lehti:Theory and Practice of Finance and Economics (c)
1997 : 4, p.24-27
Asiasana:STOCK MARKETS
RISK MANAGEMENT
CHINA
Kieli:chi
Tiivistelmä:The main risks of China's stock market are policy and system risks. The measures to strengthen the prevention of risks are as follows: 1. Standardising the government's behaviour and policies as well as the behaviour of listed companies which is the key to stabilising and developing stock market; 2. strengthening supervision and management, the construction of legal system and the industrial self- discipline; 3. accelerating the system reform to create a good market base for the development of stock market; 4. cultivating the force which is able to stabilise stock market and the institution investors to promote the institutionalisation of investment subject.
SCIMA tietueen numero: 165099
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