内容简介
资产价格泡沫和金融稳定性的早期预警指标——理论基础与实证方法&斯蒂芬·朱兰克和尤韦·瓦尔兹(Steffen Juranek and Uwe Walz)
资产价格早期预警系统研究——美日欧部分&中国人民银行研究局、中国人民银行南京分行金融研究处
危机管理的新发展:恢复与解决计划&贾彦东
我国资产价格异常波动预警理论文献述评&中国人民银行研究局
系统性金融风险与我国宏观审慎管理体系研究&贺聪 洪昊 王紫薇 陈一稀 葛声 游碧芙 王媛
中国的系统性金融风险及应对&陶玲
中国银行业风险早期预警:理论与实践&苗雨峰 刘志清 初善冰
宏观审慎政策框架与中国金融体系的系统性风险&胡滨 耿楠
资产价格走势与系统性风险防范&许占涛 李小平
对系统性风险早期预警的一些思考——基于区域金融风波的视角&王去非
Early Warning Indicators for Asset Price Bubbles and Financial Stability:Theoretical Underpinnings and Empirical Approaches&Steffen Juranek and Uwe Walz
Asset Price Early Warning System of US,Japan and Europe Research Bureau of the People’s Bank of China and Financial Research Division of&Nanjing Branch of the People’s Bank of China
New Development of Crisis Management:the Recovery and Resolution Plan&Jia Yandong
Literature Review on Early Warning System for Abnormal Fluctuations in Asset Prices of China&Research Bureau,the People’s Bank of China
Research on Systemic Financial Risks and the Macroprudential Supervision System of China&He Cong Hong Hao Wang Ziwei Chen Yixi Ge Sheng You Bifu Wang Yuan
China’s Systematic Financial Risks and Their Solutions&Tao Ling
Risk Early Warning for China’s Banking Sector:Theory and Practice&Miao Yufeng Liu Zhiqing Chu Shanbing
Macro-prudential Policy Framework and Systemic Financial Risks in China&Hu Bin Geng Nan
Trends of Asset Price and Prevention of Systematic Risks&Xu Zhantao Li Xiaoping
Analysis on Early Warning of Systemic Risks:based on the Perspective of Regional Financial Turmoil&Wang Qufei