中国证券市场风险的制度分析

    Institutional Analysis on the Risks of Chinese Security Market

    • 摘要: 在发达国家和新兴市场经济国家中金融风险频频发生,且每发生一次,就会造成整个经济的波动振荡。当前中国的金融市场不仅具有发达市场经济国家所具有的一般风险,而且还具有经济体制转轨时期的制度性风险。文章用新制度经济学的制度变迁理论对这种制度性风险进行了分析,以探究原因,寻求解决的途径。

       

      Abstract: In the developed and rising market economy countries, financial risks have happened frequently. And every time they happened, the whole economy fluctuated heavily, In current Chinese finacial market, there are not only the usual risks that the developed countries have, but also the institutional risks during the economic institution transition. The authors analyze those risks through the D.C. North's theory of institutional change, find the causes and give the way to deal with the risks.

       

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