摘要
本文在广泛搜集近年来有关资料基础上,对金融业综合经营(金融业混业经营)的涵义与特征、必要性与可行性、条件与动因、优势与弊端、问题与现状、模式与选择、基本思路与战略对策等问题进行了简要概述,勾画了金融业综合经营理论体系的初步框架。
Based on plenty of data collected in recent years,researches on comprehensive management of financial industry(or financial industry mixed management) are reviewed,and a rough frame of theoretical system of financial industry comprehensive management are sketched out.These researches focus on the meanings and features,necessity and feasibility,conditions and factors,advantages and disadvantages,problems and present situation,development pattern and strategic countermeasure of financial industry comprehensive management etc..
出处
《湖南商学院学报》
2007年第1期73-79,共7页
Journal of Hunan Business College
关键词
金融业综合经营
若干问题
研究
概述
框架
comprehensive management of financial industry
several issues
study
review
frame
作者简介
姜爱林(1964-),湖北襄樊人,中国软科学研究会理事,北京工业大学经济与管理学院教授,硕士生导师,博士后.