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Abstract:
通过对金融证券系统性风险监测原则及造成因素的分析,提出了证券系统性风险的一般模式,指出建立证券预警指标体系的现实意义,并在此基础上分析研究了国际预警指标体系.
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Source :
金融理论与教学
ISSN: 1004-9487
Year: 2003
Issue: 4
Page: 19-21
Cited Count:
WoS CC Cited Count: 0
SCOPUS Cited Count:
ESI Highly Cited Papers on the List: 0 Unfold All
WanFang Cited Count: 2
Chinese Cited Count:
30 Days PV: 7
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