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Bank Risk Transition Issues
Author: YiChuanZhong
Tutor: XiaYuZhen
School: Central China Normal University
Course: Sociology
Keywords: Risk bank risk management of bank risk.
CLC: F830
Type: Master's thesis
Year: 2000
Downloads: 112
Quote: 0
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Abstract
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With the foundimg of the socialist market economic system in our couintry, the development of economy is now on the freeway . Modern financy has a greater effect on economy. With the human wealth more and more invisible and symbolized, the circulation rate of capital will be raised greatly. At the same time it will bring more risk. Theve? f ore controlling and preveuting the bank risk has become one of the most important subjects in the world . This ar -ticle has systematically studied the theory and. practice of the management of bank risk by comparing the theories and practice of bank risk in China and other countries, and also from the basic status quo and the practical situ -ation of the state financial banks. I t has raised a has -ic opinion to draw more learners’attenf ion, provide s- ome theoriotical reference to carry out financial work and defend financial creditor’s righfs better.
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CLC: > Economic > Fiscal, monetary > Finance, banking > Finance, banking theory
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