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Financial Globalization And Banking Grisis

Posted on:2006-06-28Degree:MasterType:Thesis
Country:ChinaCandidate:Y J DingFull Text:PDF
GTID:2179360182967219Subject:International relations
Abstract/Summary:PDF Full Text Request
The development of financial globalization changes the international economy and financial environment enormously and deeply: the distribution of international capital resource ripens constantly, the international financial market renews continuously, the banking globalization develops ceaselessly, the international financial cooperation and coordination system strengthens frequently, the linkage and mutual effect of the international financial market benefits more evidently. Financial globalization has promoted the development of international finance greatly, therefore speeded the economic growth; on the other hand, it aggravates the financial fragility, which causes the bank crisis may result in the decline of the national even international economy. This is the two-edge of financial globalization.While enjoying the achievement brought by financial globalization, every nation confronts a problem inevitably due to its dual character. Namely, under the background that fictitious economy and real economy are disconnecting day by day, the financial fragility trends more enhanced after the inflated development of the financial market. The accumulation of the finance fragility may break out the financial crisis naturally, and influence the economic security to the nation finally. Since the bank crisis is the core of financial crisis, this article tries to start with analyzing the cause of how financial crisis and bank crisis form under financial globalization, the connection between them and their impact on national economic security, studies on demonstrations, searches a way to control bank crisis and risks, and then lists suggestions in details of maintaining Chinese financial security.Firstly, the article expatiates on the meaning, characteristic, influence, relation with banks, impendency of controlling Chinese bank crisis of financial globalization in general. Secondly, it starts with introducing finance fragility under the financial globalization, analyzes the characteristic, influence and connections with bank crisis offinancial crisis, explains why bank crisis under financial globalization comes into being and how it influences the macro economic by taking several typical bank crisis as examples. Thirdly, it puts forwards the measure of preventing bank crisis through analyzing the national economic security under the financial globalization. And finally, it explores methods of maintain Chinese finance security according to the situation of Chinese banking.The focal point of this article is aiming at the original cause of the bank crisis under the financial globalization, indicating suggestions and measures of keeping crisis away, combining studying on real examples and current situations of Chinese banking, analyzing the whole influence to Chinese financial security caused by the financial globalization by means of relativity analytical method, so as to assess the economic security of our country more accurately and control the bank crisis.
Keywords/Search Tags:Financial Globalization, Bank Crisis, Control
PDF Full Text Request
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