论金融风险的防范
论金融风险的防范(论文8800字)
摘 要
金融已经成为国民经济、对外国际关系的核心内容,也是自从上世纪以来继原材料、产品市场竞争之后的第三次竞争焦点,因而加强我国金融体系的财政防范措施是至关重要的。所以本文首先对金融风险的理论进行了简单的介绍,其次分析了我国金融当前存在的主要风险,主要包括宏观金融风险、我国主要金融机构风险,另外,我国通过案例分析对美国次贷危机进行了详细的分析,最后提出了防范金融风险的一些政策,比如说我国有关政府部门应该保持宏观经济健康稳定发展、促进金融市场快速发展、加强金融监管三个方面来改善我国金融风险,从而促进我国金融业的快速发展。
关键词:金融风险;金融业;次贷危机
Fiscal measures to guard against financial risks
ABSTRACT
Finance has become the core content of the national economy, foreign international relations, is also the raw materials, product market competition after the third since the last century, the focus of competition, and thus strengthen the financial system in China's financial precautions is crucial. This article first theory of financial risks brief introduction, followed by analysis of China's financial current major risk, including macro-financial risks, China's major financial institutions risk, in addition, through case studies in China to the U.S. subprime mortgage crisis detailed analysis concludes with some policy to guard against financial risks, for example, China's financial sector should maintain the healthy and stable development of macroeconomic and promote the rapid development of financial markets, strengthen financial supervision to improve China's financial risk, so as to promote China's financial industry the rapid development. [资料来源:http://Doc163.com]
Key words:Financial risks;Financial sector;Subprime mortgage crisis
目 录
1 引言 1
2 金融风险理论综述 2
2.1金融风险概述 2
2.1.1金融风险的概念及特征 2
2.1.2金融风险的分类 2
2.2金融风险的相关理论 2
2.2.1金融传染理论 2
2.2.2金融道德风险理论 2
2.2.3泡沫经济理论 3
2.2.4马克思主义金融危机理论 3
3 我国当前存在的主要金融风险 4
3.1宏观金融风险 4
3.1.1我国实体经济受国际金融风暴影响较大 4
3.1.2我国巨额外汇储备带来的风险 4
3.1.3我国高储蓄率导致的风险 4
3.1.4我国房地产市场调整带来的风险 5 [资料来源:http://Doc163.com]
3.2我国主要金融机构风险 5
3.2.1我国银行业存在的主要风险 5
3.2.2非银行业金融机构存在的主要风险 5
3.3美国次贷危机分析 6
3.3.1美国次贷危机介绍 6
3.3.2美国次贷危机的原因分析 6
3.4 国外应对金融危机的措施 7
3.4.1 美国采取的应对措施 7
3.4.2 日本采取的应对措施 7
3.4.3 德国采取的应对措施 7
4 有效防范金融风险建议 9
4.1保持宏观经济健康稳定发展 9
4.2促进金融市场快速发展 9
4.3加强金融监管 9
5 结论 10
参考文献 11 [资料来源:Doc163.com]