haku: @indexterm FINANCIAL RISK / yhteensä: 628
viite: 68 / 628
Tekijä:Zheng, Yang
Otsikko:Summery of the academic seminar on national financial risk-aversion (original in Chinese)
Lehti:Economics Information (c)
1999 : 6, p.31-35
Asiasana:FINANCIAL RISK
RISK MANAGEMENT
FINANCIAL MANAGEMENT
CHINA
Kieli:chn
Tiivistelmä:To guard against and handle financial risks, we should establish financial risk warning system as soon as possible, continue to strengthen financial reform, increase the capital abundance rate of financial institutions, try to organize and join international monetary league,make efforts to reduce enterprise rate of debts and reform the ownership system of State-owned specialized banks. We must continue implementing financial deregulation, further the establishment of the legal person system in the State-owned commercial banks, strengthen the financial organs' internal control system, We must try to solve the problem of banks' bad assets and should not be unrealistically optimistic about the establishment of financial assets management corporations. We should also make better use of foreign capital.
SCIMA tietueen numero: 208896
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