Author: Gu Xiujuan, Shen Qiyun
Publisher:
Publish Date: 2006-09-01
Features: This book is the result of the author's efforts based on years of experience and research in the financial industry. It attempts to observe China's financing structure, as well as the historical, current, and evolving processes of financial instruments and markets such as stocks and bonds, from the perspective of an investor, against the backdrop of China's market economy. The aim is to provide reference and insights for researchers, practitioners, and learners who are interested in China's financial sector and are involved in it. China's financing mechanisms and structure have evolved alongside changes in economic and financial systems. The social, historical, and cultural context serves as the soil for its evolution, while the special stage of economic development provides the foundation for its growth. Following the approach of "overall grasp with focused breakthroughs," the book first provides a general analysis of the evolution of China's financing structure, then examines resident savings behavior, corporate financing behavior, the risk-reward symmetry of bank deposits and stock investments, and the institutional risks of China's stock market. It studies their current status and existing issues.
Analysis of the Evolution of China's Financing Structure
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