Suiting the needs of financial internationalization and guarding against financial risk , our financial system should be going on reforming 摘要适应金融国际化和防范金融风险的需要,我国的金融体制应继续进行改革。
Therefore , risk denfence mainly means we have to optimize financial market system , to carry out deep financial institution reform and to bulid a harmonious financdial environment 因而,防范金融风险,主要是完善金融市场各种制度,深化金融机构改革,加快金融生态建设。
Since 1997 ' s the asian crisis , keeping away financial crisis and reinforce financial security ' s measure of guarantee are turned back again . scholars think over again the problem of financial security 防范金融风险、加强金融安全保障措施被重新提到了日程,学者们对金融安全问题重新思考,重新定位。
Of our country financial institution take precautions against means of financial risks make use of various kinds of finance innovative products and shift , reduce or dispel relevant risk mostly very at present 我国金融机构当前防范金融风险的手段很大部分是利用各种金融创新产品来转移、减少或消除相关的风险。
The financial crisis in some asian countries indicates that preventing financial risks is not merely a matter of any individual country , but an issue having a bearing on our common tasks and interests 亚洲一些国家发生的金融危机说明,防范金融风险已经不仅仅是哪一个国家自己的事情,而是我们的共同责任和利益所在。
We should make full use of the role of monetary policy , appropriately control the size of credit and optimize the credit structure to support economic growth while fending off inflation and financial risks 充分发挥货币政策的作用,适当控制货币信贷规模,优化信贷结构,既要支持经济增长,又要防止通货膨胀和防范金融风险。
Objectively speaking , it also requires us to change the regulation of the securities markets , a sound legal system , improve market rules to curb market speculation in the non - rational , guard against financial risks 客观上也要求我们转变对证券市场的监管方式,建立健全的法律体系,完善市场的规则,抑制市场的无理性投机,防范金融风险。
The paper supplements the theory of bank " s bad loans dealing when china enters the wto and is of importance to value of reference the practice of bank " s bad loans dealing and protect the risk of financial for our country 本文是对在新形式下银行不良贷款处理理论的补充和完善,这对于加快我国银行不良贷款处理和防范金融风险的产生具有重要的参考意义。
After analyzing the requirements of opening china ' s capital account , this thesis supply a decision - making model of choosing timing to open capital account and a game model for preventing financial risks after opening capital account 本文在分析中国开放资本账户的必要条件后,提出选择资本账户开放时机的决策控制模型,以及资本账户开放后,防范金融风险的对策模型。
Therefore i put forward a system of boundary indexes for keep away from the financial crises , which composes of those in monetary markets , those in capital markets , those for national debts and those of national foreign reserves 因此,我们提出了一个防范金融风险的边界指标体系,包括货币市场的边界指标体系;资本市场的边界指标体系;国家债务指标体系;国家外汇储备指标体系等若干指标。