Lessons from the financial market turmoil

Gert D. Wehinger
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引用次数: 3

Abstract

This financial crisis, ending a period of search for yield and increased risktaking,has triggered various policy responses, ranging from more ad-hoc measures initially to more structured and co-ordinated financial sector rescue actions as the crisis evolved. Lessons drawn so far should help to devise longer-term, more encompassing and more consistent policies. Various reforms are being proposed by the financial industry as well as by official authorities and international standard-setting bodies, many of which arrive at similar conclusions regarding the causes of and remedies for the crisis. Shortcomings in risk management, including compensation schemes, governance structures, liquidity and counterparty risk, need to be addressed.
金融市场动荡的教训
这场金融危机结束了一段追求收益和冒险行为增加的时期,引发了各种政策回应,从最初更为临时的措施,到随着危机演变而采取的更为结构化和协调的金融部门纾困行动。迄今取得的经验教训应有助于制定更长期、更全面和更一致的政策。金融业、官方机构和国际标准制定机构正在提出各种改革建议,其中许多机构在危机的起因和补救措施方面得出了类似的结论。需要解决风险管理方面的缺陷,包括薪酬计划、治理结构、流动性和交易对手风险。
本文章由计算机程序翻译,如有差异,请以英文原文为准。
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