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历经四十多年,资产证券化作为一种被广泛采用的金融创新工具,得到了迅猛的发展。但同时,我们必须认识到资产证券化在运行的过程中存在的各种风险是无法回避的。以往关于资产证券化风险隔离的风险及其管理方法的分析大多是从其中一个方面来进行的,缺乏统一的分析框架,给人一种零碎而缺乏系统的感觉。文章将从几个方面综合分析目前资产证券化风险隔离机制中存在的风险及其管理方法。
After more than 40 years, asset securitization has been rapidly developed as a widely used financial innovation tool. But at the same time, we must realize that the various risks in the process of asset securitization can not be avoided. In the past, most of the analyzes on the risk of asset securitization and its management methods were carried out from one aspect. The lack of a unified analytical framework gave people a fragmentary and lack of systematic feeling. The article will comprehensively analyze the risks and management methods in the current risk securitization of securitization from several aspects.