haku: @indexterm FINANCIAL POLICY / yhteensä: 417
viite: 118 / 417
Tekijä: | Guo, Yanqing |
Otsikko: | How to bring China's financial risk under control under the current world situation (original in Chinese) |
Lehti: | Modern Economic Science (c)
1998 : 2, p.60-61 |
Asiasana: | FINANCIAL RISK FINANCIAL POLICY FINANCE MANAGEMENT CHINA |
Kieli: | chn |
Tiivistelmä: | The reliability and stability of the world financial system are the key problems of financial risk. China's financial risk must be brought under control now. To this end, the measures are as follows: Every commercial banks must set a stable development target conforming to its own reality. The assets-liability ratio management system, the internal and external supervision and management mechanism, and market optimization mechanism for realizing "survival of the fittest" on the basis of fair competition must be established and perfected as soon as possible. Besides, the innovation of system of banking industry be promoted. In this way, the government and banks can jointly prevent financial risk. |
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