摘要
财政体系建立以后财政风险就始终存在。金融风险是社会风险中比较常见、破坏力非常大的风险。二者的爆发都会威胁经济健康平稳运行。财政风险和金融风险不是独立存在,不仅会相互传导,而且会向其他经济部门传导,进而影响经济发展全局。财政风险主要通过财政收入与财政支出两个环节向金融领域传导,而金融资产管理公司的运行风险、金融机构重组的风险等金融风险则可能转化为财政风险。财政、金融体系是整个国民经济的润滑油,对国民经济产生全方位的影响,要采取应对措施,积极防范财政、金融风险。
The fiscal risk is a dynamic process since the establishment of the fiscal system. Financial risk is a kind of common risk, it is of large damage. The outbreak of these two kinds risks would be a threat to the health and stable economic operation. Whether fiiscal risk or financial risk is not an independent existence, they are under mutual transmission. They can affect other sectors of the economy, and thus affect the overall situation. The fiscal risk is mainly through fiscal revenue and expenditure to transfer to the financial sector. And the operation risk and restructuring risk of the Asset Management company could transfer to fiscal risk. Fiscal system and financial system are of the most importance in the whole national economy, they have a full range of impact on the national economy. Relevant measures should be taken for the prevention of fiscal and financial risk.
作者
陈靖
余素芳
Chen Jing Yu Sufang(Chongqing Creation Vocational College, Chongqing 40003)
出处
《改革与战略》
北大核心
2017年第3期91-92,96,共3页
Reformation & Strategy
基金
重庆市教委2016年规划课题"基于SSM模型的重庆主导产业研究"(项目编号:16SKGH275)
关键词
财政风险
金融风险
传导机制
影响
fiscal risk
financial risk
transmission mechanism
impact