首页|中国银行业海外并购风险的分析与防范

中国银行业海外并购风险的分析与防范

The Risk Analysis and Measures of Chinese Banks’ Oversea Mergers

扫码查看
海外并购是中资银行制定多元化发展、获取技能或者进入新兴市场的基石。金融危机为国内银行的国际化提供了良好的机会,2006年之后中国银行业进入了第二次并购高潮。本文基于我国银行业海外并购现状的分析,探究了并购的特点和风险,并提出了有效的风险防范措施。
Overseas merger is the foundation that Chinese banks can gain a technical ability and enter an emerging market in a diversified development stategies. The financial crisis provides a good opportunity for the internationalization of domestic banks. Since 2006, Chinese banks have experienced the 2nd wave of overseas mergers. Based on the current status of overseas M&A of banks in China, the text analyzes its characteristics and risks, and provides some effective measures.

BankingRisk Of Overseas M&ARisk Provision

薛金波

展开 >

太原师范学院,山西 太原 030012

银行业 海外并购风险 风险防范

2013

时代报告(下半月)
河南省文学艺术界联合会

时代报告(下半月)

ISSN:1003-2738
年,卷(期):2013.(1)
  • 1
  • 1