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Research On The Risk Mitigation With Law Methods In The Off-shore Finance Market

Posted on:2013-02-13Degree:MasterType:Thesis
Country:ChinaCandidate:Q C ZhangFull Text:PDF
GTID:2246330392956427Subject:Law
Abstract/Summary:PDF Full Text Request
As we all know, Off-shore Finance Market is an essential part of international finance market. It is different from the traditional finance market in terms of various currency economical cost,wide market as well as huge influence. It becomes a great challenge to governments and banks all over the world when financial oligarchy shifted the financial risk onto residential companies resulting to serious lost due to the linking effect of the economy. Worldwide Financial crisis derived from inadequate risk aversion alarmed numerous investors. Laws and regulations on traditional Financial Markets can no longer meet the demand of the new model of investments and financial leasing which hind the global financial market’s development. As a fresh field in China, Off-shore Finance Market emerges a plenty of risk but without risk mitigation practice. Researches on legal issue of Off-shore Finance Market only took the respects of macro-level emphasizing on rule-making not in the view of micro-level focusing on risk mitigation by individual. Therefore, the value of this essay discussing the Off-shore Finance Market’s risk mitigation cannot be ignored at all.With regard to the background, this essay will take the Off-shore Finance Market’s risk mitigation as the main topic to explore practical solutions thereof for China off-shore Finance Market construction in the future.. Chapter I will introduce theories of the Off-shore Finance Market as well as the famous international Off-shore Finance Markets in the world. Chapter II will analyse key legal risks and take several examples in dilution of the equity or credit risk and risk of exchange rate to demonstrate the necessity of this research. Chapter III will consider the core measures to avoid the risk which have practical meaning for risk mitigation. Chapter V will give out the status quo of China’s Off-shore Finance Market and the dilemma we met during the construction. Last chapter will summarize the opinions appeared in this essay. First of all, an integrity outlook will be reached after summarizing the characters of international Off-shore Finance Markets. Then, the author will give out the categories and features of the Off-shore Finance Market in order to get useful countermeasures in the following chapter. Next, this essay will redefine the concept of legal risk mitigation and explore the mechanism of risk mitigation in horizon aspect. Lastly, any practical solutions will be set out aiming to preventing any malpractice that can wreck socialism market economy including anti-dilution provisions, credit secure, exchange rate and so on.
Keywords/Search Tags:Off-shore Finance, Risk Mitigation, International Financial Law
PDF Full Text Request
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