评估:金融不稳定

The assessment: financial instability

Oxford Review of Economic Policy · 1999
被引 13
人大 A-ABS 2

中文导读

基于《牛津经济政策评论》九篇文章,分析金融不稳定的原因、后果与对策,指出在降低风险及应对危机的政策上存在高度共识。

Abstract

This paper analyses the causes, consequences, and cures for financial instability based on nine articles on this subject in the Oxford Review of Economic Policy. It argues that the articles suggest a high degree of consensus about the policies required to minimize risks of financial instability and the policies required to tackle it if it emerges.

金融不稳定政策共识风险最小化