Show simple item record

dc.contributor.author许文彬
dc.date.accessioned2017-11-14T02:18:53Z
dc.date.available2017-11-14T02:18:53Z
dc.date.issued2000-05-05
dc.identifier.citation财经问题研究,2000,(05):21-25
dc.identifier.issn1000-176X
dc.identifier.otherCJWT200005003
dc.identifier.urihttps://dspace.xmu.edu.cn/handle/2288/147733
dc.description.abstract本文运用信息经济学和制度经济学的基本原理 ,阐述了金融风险的经济学逻辑 ,并说明了金融风险与制度变迁是如何相互推进的。
dc.description.abstractByusingthebasictheoryofInformationeconomicsandinstitutionaleconomics,thepaper discussedtheeconomiclogicoffinancialrisks,andexplainedtheinteractionoffinancialrisksandinsti tutionalchanges.
dc.language.isozh_CN
dc.subject金融风险
dc.subject制度变迁
dc.subject信息替换
dc.subject信息缺陷
dc.subject制度缺陷
dc.subjectFinancial Risks
dc.subjectInstitutional Changes
dc.subjectInformation Substitution
dc.subjectInformation Failure
dc.subjectInstitutional Failure
dc.title信息替换、制度变迁与金融风险
dc.title.alternativeInformation Substitution、Institutional Changes and Financial Risks
dc.typeArticle


Files in this item

Thumbnail

This item appears in the following Collection(s)

Show simple item record