次贷危机后全球金融监管理论的新近进展

被引:9
作者
钟伟
孙宝沙
机构
[1] 北京师范大学
关键词
流动性危机; 系统性风险; 大则不倒; 生前预嘱; 国际监管合作;
D O I
暂无
中图分类号
F831 [世界金融、银行];
学科分类号
020202 ;
摘要
次贷危机不仅冲击了全球金融稳定也给监管体系提出了挑战。危机初期,巴塞尔委员会把监管重点放在改善流动性管理方面,而目前,全球监管体系的进展更多地集中在监管政策的协调、防范道德风险和降低救助成本方面。由于"大则不倒"的金融机构容易引发系统性风险,因此其逐步成为监管重点并有分拆趋势,监管政策也越来越具有反周期的倾向。
引用
收藏
页码:16 / 20+86 +86
页数:6
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