顺周期效应与保险监管

被引:19
作者
赵光毅 [1 ]
王锐 [2 ]
机构
[1] 中国保险监督管理委员
[2] 国家法官学院
关键词
顺周期效应; 保险监管; 逆周期措施;
D O I
10.13497/j.cnki.is.2010.03.015
中图分类号
F840 [保险理论];
学科分类号
120404 ; 020204 ;
摘要
顺周期效应是导致全球金融危机加剧的一个重要原因,包括以风险为基础的资本监管方法、以实际损失为计提原则的拨备方法、以公允价值为原则的会计方法和以短期业绩为基础的高管薪酬体制等方面。与银行业类似,顺周期效应同样存在于保险领域,需要保险监管机构采取逆周期监管措施,消除风险根源,缓解周期特征,降低危机成本。
引用
收藏
页码:94 / 97
页数:4
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