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基于系统性金融风险的宏观审慎政策框架:实践进展与健全完善 被引量:1

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摘要 金融危机发生后,建立健全宏观审慎政策框架,防范和化解系统性金融风险已成为国际社会的普遍共识。我国也进行了积极的探索,尽管取得一定成效,但还存在诸多不足。在对西方主要经济体构建宏观审慎政策框架的实践进展进行全面梳理和总结的基础上,借鉴国际经验,提出从明确组织机构、健全风险监测评估框架、丰富工具篮子、完善政策安排及协调机制四个方面健全完善我国宏观审慎政策框架的对策建议。
作者 毛建林
出处 《西南金融》 北大核心 2013年第11期44-47,共4页 Southwest Finance
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