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1.风险重心:由微观领域向宏观领域转移假如设定某些高度失衡国家在金融海啸形成期由于微观风险管理的问题占60%,宏观风险管理因素占40%;那么到了后危机时期,经济开始复苏,风险管理呈现“倒4/6比”现
1. Risk focus: the transfer from the micro area to the macro area If we set some highly unbalanced countries in the financial tsunami formation due to micro-risk management problems accounted for 60% of the macro-risk management factors accounted for 40%; then to the post-crisis period, the economy Start recovery, risk management appears “inverted 4/6 ratio ” now