摘要
中国正处在融入全球经济一体化、金融一体化的经济转型过程中,面临着开放市场与维持金融稳定的矛盾。由于中国金融体系的脆弱性和经济体制尚存在的缺陷,中国政府如若对开放和经济发展、社会稳定的矛盾处理不慎,极易导致货币危机,进而转化成金融危机,危及社会稳定和国家安全。因此亟需建立中国金融风险预警模型并寻找中国金融制度的改革路径。
China is in the process of integrating into world economic and financial system and is facing the contradiction between opening up the market and maintaining financial stability.Due to the weakness of China's financial system and defects existing in economic system,if Chinese government couldn't properly handle the contradiction between opening up,economic development and social stability,monetary and financial crisis could easily happen,and the social stability and national security would be endangered.It is urgent to set up China's financial risk early warming model and find the reform route for China's financial system.
出处
《中国流通经济》
CSSCI
2002年第5期57-60,共4页
China Business and Market
关键词
转型经济
中国
金融制度
风险机理
改革路径
transition al period,financial system,risk mechanism,reform route