2010中國金融穩定報告(英文版)

2010中國金融穩定報告(英文版)

《2010中國金融穩定報告(英文版)》是2010年8月中國金融出版社出版的圖書,作者是中國人民銀行金融穩定分析小組。

基本介紹

  • 中文名:2010中國金融穩定報告(英文版)
  • 作者:中國人民銀行金融穩定分析小組
  • 類別:金融投資
  • 出版社:中國金融出版社
  • 出版時間:2010年8月
  • 頁數:228 頁
  • 定價:200 元
  • 開本:16 開
  • 裝幀:平裝
  • ISBN:9787504956217
內容簡介,圖書目錄,

內容簡介

The year 2009 witnessed gradual stabilization and upturn of the global economy after the full-blown international financial crisis. Withstanding thesevere impacts of the financial crisis, the Chinese economy staged a generalrecovery. The entire financial system has been sound with positive progressmade in the reform of the financial sector, significantly enhanced strength offinancial institutions, stable operation of the financial market and improvementin financial infrastructure. At present, the global financial markets are gettingstabilized and the foundation of China's economic recovery was graduallyconsolidated. Domestic and international circumstances, however, are stillcomplicated and potential risks and uncertain factors still exist, posingchallenges for China to maintain financial stability.

圖書目錄

Chapter I Macroeconomic Developments
Chapter II Banking Sector
Chapter III Securities and Futures Sector
Chapter IV Insurance Sector
Chapter V Financial Markets
Chapter VI Financial Analysis of the Government, Corporate and Household Sector
Chapter VII Financial Infrastructure
Chapter VIII Macro-prudential Management
Special Topic I An Overview of International Financial Regulatory Reform
Special Topic II Reform and Development of the Rural Financial System
Special Topic III China Initiates “Financial Sector Assessment Program”
Appendix I A Quantitative Analysis of the Soundness of the Banking Sector: the Case of 17 Major Commercial Banks
Appendix II Statistics
Boxes
1. Economic Stimulus in Major Economies
2. China's Stimulus Package
3. The Pilot Program of RMB Settlement of Cross-border Trade Transaction Proceeded Steadily
4. International Capital Flows Since the Onset of the Financial Crisis
5. China's Banking Sector Made Significant Progress in Information Disclosure
6. Analysis of Real Estate Finance in 2009
7. The Introduction of New Capital Convertible Instrument
8. The Launch of the GEB
9. Risk Monitoring System and Classified Regulation Mechanism of Securities Companies
10. Promoted the Fund Management Companies to Carry out Innovations in Business and Products
11. Micro-insurance
12. The Reform and Development of SINOSURE
13. Asset Securitization Is an Important Measure in the Development and Risk Prevention of Financial Market
14. Development of Municipal Bonds Worldwide
15. The Development and Standardization of the Local Government Investment and Financing Platforms
16. Non-financial Institutions Could Exert a Positive Role in SMEs Financing
17. Establishing a Universal High-quality Accounting Standard System
18. Impact of Systemically Important Financial Institutions on Financial Stability
19. Macro-prudential Analysis Method: Financial Network Model Based on Data from Payment and Settlement System
20. Measures Taken by Jurisdictions to Enhance Deposit Insurance during the Crisis

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