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金融衍生产品:风险、市场失灵与公共政策
Authors
张林昌
郑振龙
陈蓉
Publication date
1 August 2005
Publisher
山东社会科学出版社
Abstract
金融衍生产品的引入在中国已是大势所趋,然而至今为止,我们尚未对其真实的特殊风险进行深入的分析和探讨,而且在理论和实务界对衍生产品风险还存在认识误区。衍生产品可能导致额外风险,但这些风险对市场个体的影响并不重要,重要的是,金融衍生市场本身存在的市场失灵,从而可能 导致风险的放大。然而,这些风险是可以管理和控制的。基于此,相应的公共政策与监管原则应针对风险进行控制和管理,并且注重于预防系统性风险和提供公平竞争的市场环境
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Xiamen University Institutional Repository
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oai:dspace.xmu.edu.cn:2288/801...
Last time updated on 16/06/2016
Xiamen University Institutional Repository
See this paper in CORE
Go to the repository landing page
Download from data provider
oai:dspace.xmu.edu.cn:2288/485...
Last time updated on 16/06/2016
Xiamen University Institutional Repository
See this paper in CORE
Go to the repository landing page
Download from data provider
oai:dspace.xmu.edu.cn:2288/202...
Last time updated on 16/06/2016