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本文对我国政府债券市场的宏观环境、发行市场、二级市场和衍生品市场四个方面存在的问题进行了综合分析,在借鉴国外成熟市场经验基础上,从优化政府债券市场的宏观环境、充实完善政府债券的发行市场、积极推进政府债券二级市场的发展、积极推进政府债券衍生品市场的发展四个角度,提出了课题组的政策建议主张,以期促进中国政府债券市场的健康发展。
This article analyzes the problems in the four aspects of the macro-environment, the issuance market, the secondary market and the derivatives market of China’s government bond market. Based on the experience of mature foreign markets, we optimize the macroeconomic environment of the government bond market, Improve the issuance market of government bonds, actively promote the development of the secondary market of government bonds and actively promote the development of the government bond derivatives market, put forward the policy suggestions of the research group in order to promote the healthy development of the Chinese government bond market.