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ji yu xie tong xue de jin rong jian guan xie tong du yan jiu
Author(s): 
Pages: 15-19
Year: Issue:  3
Journal: Finance & Trade Economics

Keyword:  金融监管 协同度 序参量;
Abstract: 本文首先借鉴系统科学,提出金融监管协同度是指金融监管系统内各子系统如银行、证券、保险等分业监管之间在金融协同监管过程中相互配合、协调一致的程度,并建立金融监管协同度的计量模型。然后用我国1996—2005年的相关数据展开实证分析,从宏观上看,考察期内我国保险监管相对有序,银行监管次之,证券监管则处于相对无序状态。最后,提出我国应加强银行业、证券业和保险业的协同监管等建议。
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