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2010, 01, v.37;No.140 129-132
资产证券化对金融稳定影响的研究评述
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DOI: 10.16366/j.cnki.1000-2359.2010.01.071
发布时间: 2010-01-10
出版时间: 2010-01-10
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摘要:

随着美国次贷危机的爆发和传导,以资产证券化及其衍生品为主的金融创新对金融稳定的影响逐渐成为国内外学术界研究的焦点。国外学者对金融稳定的研究主要是从资产证券化对资产均衡价格的影响、资产证券化对流动性的影响以及资产证券化的风险转移和扩散机制三个方面进行的。综观这些研究成果可以发现,以资产证券化为主的金融创新既可以促进金融体系效率的提高,也可能造成金融体系的不稳定。在本次次贷危机中,以资产证券化及其衍生品为主的金融创新产品既对金融风险的转移和扩散发挥了不可估量的作用,也造成了市场流动性的枯竭以及信用危机的发生,导致金融体系的不稳定。因此,我们需要深入讨论资产证券化及其衍生品基本功能的正反两方面作用,深刻把握资产证券化等金融创新产品对金融稳定的影响机制,这样才能更好地指导我国设计和利用资产证券化产品。

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基本信息:

DOI:10.16366/j.cnki.1000-2359.2010.01.071

中图分类号:F832.51

引用信息:

[1]李佳,王晓.资产证券化对金融稳定影响的研究评述[J].河南师范大学学报(哲学社会科学版),2010,37(01):129-132.DOI:10.16366/j.cnki.1000-2359.2010.01.071.

发布时间:

2010-01-10

出版时间:

2010-01-10

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