梁志峰.资产证券化的金融创新理论研究综述[J].,2006,7(3):21-24
资产证券化的金融创新理论研究综述
Overview on Financial Innovation Theory of Asset Securitization
  修订日期:2006-03-28
DOI:
中文关键词:  资产证券化,金融创新,资本运营,风险隔离,信息不对称,体制创新
English Keywords:asset securitization,financial innovation,capital operation,risk- remoted,asymmetric information,system innovation,
Fund Project:
LIANG Zhi-feng
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中文摘要:
      资产证券化作为20世纪70年代以来十分重要的金融创新,其主要研究集中在应用性研究上,对于其金融创新理论研究比较薄弱和分散,文章对此从成本诱导的资产证券化理论、减少信息不对称的资产证券化理论、风险隔离的资产证券化理论、优化公司资本结构的资产证券化理论、信用体制创新的资产证券化理论和资产价值形态转换的资产证券化理论等六个方面进行了综述。
English Summary:
      Asset securitization is an important product of financial innovation since 1970s'. The researches on it are focusing on application research and decentralizing and lacking theoretic research. This thesis overviews the financial innovation theory of asset securitization from the aspects as cost abduction, reducing asymmetric information, risk - remoted, optimizing capital structure of company, credit system innovation and transforming capital value form etc.
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