Research on Financial Risk Management
Risk management is the major concern of modern financial industry. It is very important to run the financial system safely and moderately for the benefit of the stabilization and development of the economy market. Under the backdrop of economy globalization and the complete opening of the finance market (currency market, capital market, foreign exchange market etc.), free movement of the capital will bring the many troubles to the economy and finance supervision of our country. As a result, withstanding and avoiding the financial risk to ensure the safety of our financial system is very important. Information publication system played a dominant role in defending financial risks, strengthening financial supervision and making financial operations standardized and legitimate.
financial risk information publication credit risk operation risk
Wen ji-yue Chang gui-ran
School of Information Science and Engineering, Northeastern University, Shenyang 110004, China;Infor School of Information Science and Engineering, Northeastern University, Shenyang 110004, China
国际会议
The 1st International Conference on Risk Analysis and Crisis Response(首届风险分析与危机反应国际学术研讨会)
上海
英文
433-438
2007-09-25(万方平台首次上网日期,不代表论文的发表时间)