Author: Jiang Xuejun / Liu Liwei / Fan Nan
Publisher:
Publish Date: 2005-03-01
Features: This topic is divided into six chapters in a progressive manner. Chapter 1 is a study on the issue of China's financial opening-up, consisting of four sections. Chapter 2 analyzes the situation China's financial regulation faces under opening-up conditions, divided into two sections. Chapter 3 examines international financial regulatory innovation and its development trends, and proposes corresponding countermeasures for China. Chapters 4 to 6 focus on the research of risk management issues in China's financial opening-up and regulation, which is the key part of the entire topic and also the core of the quantitative research. Chapter 5 conducts an algorithmic analysis of major credit risk management models currently used worldwide, including the study of the KMV model and the Creditmetric model. Chapter 6 is a study on China's financial risk management methods, which is the key part of this section, divided into three sections.
Research on Financial Opening Up and Regulatory Issues
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