摘要
对区域金融竞争力的内涵进行界定。选取南京市为研究对象,使用统计软件SPSS13.0并结合因子分析法对南京的金融竞争力及其排名进行实证分析,用威尔逊模型研究南京区域金融辐射力及其效应。有针对性地提出南京建设区域金融中心并进一步提高金融竞争力的对策。
This paper defines the connotation of the regional financial competitiveness. Taking Nanjing as the research object, combined with factor analysis and the statistical software SPSS13.0 to make an empirical analysis for Nanjing financial competitiveness and its rankings. At the same time, Wilson model is applied to study Nanjing regional financial radiation and its effect. And the paper pertinently put forward countermeasures and suggestions for Nanjing to construct to be a regional financial center and further improve the financial competitiveness.
出处
《金陵科技学院学报(社会科学版)》
2015年第4期1-6,共6页
Journal of Jinling Institute of Technology(Social Sciences Edition)
关键词
区域金融竞争力
评价分析
南京
对策
regional financial competitiveness evaluation and analysis Nanjing countermeasures