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马克思主义背景下的金融风险研究

Research on Financial Risk in the Background of Marxism
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摘要 运用马克思主义与社会科学方法论中关于金融风险的思想,对我国目前的金融状况做了分析。首先通过金融风险的特征和分类,阐述了金融风险产生的原因;其次从宏观和微观的角度分析了金融风险对经济体系的影响;最后论述了对金融风险的防范措施,要加强对资产泡沫的抑制,强化去杠杆政策的实施,同时加大力度维护金融秩序,加强对金融体系内部风险的防范,另外更要做好对外部冲击风险的防范,以为经济的发展提供更好的措施,为实现“两个一百年”奋斗目标创造更为有效的金融环境。 Financial risk is a topic that can not be ignored in economic development.This paper makes an analysis of the current financial situation of our country using the thought of financial risk in Marxism and social science methodology.First of all,it expounds the causes of financial risk based on the characteristics and classification of financial risk,then it analyzes the impact of financial risk on the economic system from macro and micro perspectives,and finally it discusses the preventive measures against financial risk.It puts forward that strengthening the suppression of asset bubbles and the implementation of deleveraging policies,maintaining the financial order and guarding against the financial risk to provide better measures for economic development and create a more effective financial environment for the realization of two centenary goals.
作者 板珊珊 BAN Shan-shan(School of Economics and Management,Yunnan Normal University,Kunming 650500 China)
出处 《科技创新与生产力》 2019年第5期1-4,共4页 Sci-tech Innovation and Productivity
关键词 金融风险 马克思主义 社会科学方法论 financial risk Marxism social science methodology
作者简介 板珊珊(1994-),女,河南新乡人,在读硕士,主要从事国际金融研究,E-mail:2428738435@qq.com。
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