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本文集中探讨了以新自由主义为理论基础的金融自由化及其在历次国际金融危机所扮演的角色,以及本次全球性金融危机后各国金融监管当局对金融自由化理念的反思。本文在探讨了主宰世界经济走向长达三十多年的新自由主义理论及其在各国的实践和后果的基础上,认为新自由主义理论导向下的金融自由化,是酝酿和产生国际金融危机的温床。危机后各国所采取的金融监管体制改革,表明国际社会开始倡导以法律的手段矫正金融市场过度自由化的严正立场。
This article focuses on the financial liberalization based on neo-liberalism and its role in various international financial crises, as well as the reflections on the concept of financial liberalization by financial regulatory authorities of various countries after the global financial crisis. Based on the neo-liberalism that dominated the world economy for more than three decades and its practice and consequences in various countries, this article argues that the financial liberalization under the guidance of neoliberalism is the process of brewing and producing the international financial crisis Hotbed The reform of the financial regulatory system adopted by all countries after the crisis shows that the international community has started to advocate the solemn position of using law to correct the over-liberalization of financial markets.