Author: Zhu Shuzhen
Publisher:
Publish Date: 2002-10-01
Features: Except for the introduction and conclusion, this book is divided into seven chapters and three parts. The first part consists of three chapters: The Concept and Mechanism of Financial Innovation, The Manifestation and Characteristics of Financial Innovation, and The Technological Support of Financial Innovation. The second part consists of two chapters: The Formation and Manifestation of Financial Risk and Methods of Measuring Financial Risk. The third part consists of two chapters: Risk Avoidance and Re-emergence in Financial Innovation and The Relationship Between Financial Innovation and Financial Risk. This book aims to make contributions to the development of China's finance within the framework of economic globalization at the theoretical, institutional, and practical levels. It is suitable for faculty and students of finance and trade majors in various colleges and universities, as well as financial professionals.
Financial Innovation and Financial Risk: A Dilemma in Development
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