Author: Xiang Wenhua
Publisher:
Publish Date: 2005-05-01
Features: This book focuses on a qualitative and quantitative analysis of the correlation between financial liberalization and financial risks in developing countries. Based on this, it conducts pioneering research on the conditions, causes, and consequences of the transformation of financial risks into financial crises during the process of financial liberalization. Additionally, it provides insightful discussions on information asymmetry during the process of financial liberalization, the generation and prevention of non-performing bank assets, and the potential risks China may face in its financial liberalization process.
Research on the Correlation between Financial Liberalization and Financial Risk
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