摘要
金融风险传染机制不仅是一国政府在防范国际金融危机传染过程中制定政策的核心内容,更是学术界长期以来的热点研究领域之一。文章以开放经济条件下金融危机的爆发作为切入点,介绍了金融危机扩散过程中不断完善的金融风险传染理论,在此基础上,分别就金融风险传染影响因素的早期成果和最新进展进行梳理和评价,总结了金融风险在国际间传染的路径选择,并指出未来进一步研究的方向。
The study of the mechanisms of financial contagion is not only the core content of government regulatory policies for preventing international financial risks, but also has long been a hot academic research field. This paper takes the perspective of financial crisis as the point of entry in introducing the development process of financial contagion theory. Then it reviews earlier and recent literature about financial risk factors, summarizes international transmission channels of financial risks and indicates future directions for research on financial contagion.
出处
《经济社会体制比较》
CSSCI
北大核心
2014年第2期87-96,共10页
Comparative Economic & Social Systems
基金
国家自然科学基金"基于复杂网络与Multi-Agent融合的金融市场间风险溢出效应研究"(项目编号:71371051)
教育部人文社会科学研究青年基金"后金融危机时代中国银行业系统性风险测度与预警研究"(项目编号:12YJC630101)
关键词
开放经济
金融风险
影响因素
传染渠道
Open Economy
Financial Risk
Influential Factor
Channels of Contagion