首页|关于系统性金融风险度量的研究回顾

关于系统性金融风险度量的研究回顾

Review of Research on Systematic Financial Risk Measurement

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面对世界百年未有之大变局,世界发展的不确定性更加突出,其深刻影响着我国的经济发展.行稳方能致远,在此大背景下,我们应当坚持"稳中求进"的总基调以有效应对各项挑战.金融稳,经济才能稳,守住金融安全底线必须增强防范意识,准确度量系统性金融风险,对可能的风险隐患点早预判、早处置.近年来,系统性金融风险度量已经成为金融领域的研究热点,文章从微观度量和宏观度量两个角度分类整理了现有文献的系统性金融风险度量方法,并展望了后续系统性金融风险相关研究的成果,从而为系统性金融风险的监管防控提供理论依据,保障我国经济的稳定增长.
With the unprecedented changes in the world in a century,and the more prominent uncertainty of world development,China's economic development is profoundly affected.Only by maintaining stability can we achieve success.In this context,China should adhere to the overall tone of"seeking progress while maintaining stability"to effectively respond to various challenges.Financial stability is the key to economic stability.To maintain the bottom line of financial security,China must enhance the awareness of prevention,accurately measure systemaic financial risks,and anticipate and handle potential risk hazards early.In recent years,systemaic financial risk measurement has become a research hotspot in the financial field.This article categorizes and organizes existing literature on systemaic financial risk measurement methods from two perspectives of micro measurement and macro measurement,and looks forward to the results of subsequent research on systemaic financial risks.This provides a theoretical basis for the supervision and prevention of systemaic financial risks,thereby ensuring the stable growth of China's economy.

systemaic financial riskrisk contagionrisk measurement

张晓彤

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天津商业大学 会计学院,天津 300134

系统性金融风险 风险传染 风险度量

2024

商业观察

商业观察

ISSN:
年,卷(期):2024.10(9)
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