Thursday 6 October 2011

Financial Mixture Operation of the Risk Control Research ...

?Abstract? Since the 1980s, with the securities market grow from in our country, our financial primary mixed-business management situation preliminary form, this system since the mid 1990s to cause such as securities giant southern securities company bankruptcy financial events,1995, China has launched a "law of the People?s Republic of China on the people?s bank of China", "the commercial banking law of the People?s Republic of China", "the insurance law of the People?s Republic" in 1998 until the "securities law of the People?s Republic of China" comes on stage, the clear from the primary financial operation mixed-business management to decentralized management, supervised respectively. Along with the people?s bank of China, the China securities regulatory commission (1992), the China insurance regulatory commission (1998) and in 2003 China banking regulatory commission, and the supervised respectively set pattern of sustaining today.After China?s access to WTO that brings in competition with the opportunity of the environment, financial management and decentralized management, some new problems appeared in the financial industry, to thoughts brought with the theory of the mixed-business management and practice, appeared the CITIC group and the China Ever bright group that are the state-owned capital as the background, the first attempt of mixed operation of capital group.This paper through the comparison of the United States, Germany, comparison and analysis of financial development of financial crises in China for nearly thirty years and financial development, show in the current financial decentralized management system of the early next mixed-business management model, development and risk control, inhibiting the formation is the reality of the crisis, pressing, must research topic. Second paper preliminarily analyzed current financial mixed-business management business model and key risk control, finally through the case of risk control key from the Angle of practice are analyzed, and puts forward some constructive Suggestions.This paper based on the modern financial holding company operating background, and the separation of ownership from managerial authority ownership, argue from the practical reality of the enterprise development and external demand, both think over aspects of regulatory requirements, put forward the main business risk management measures, financial holdings both internal and external development and risk control effectively balance effect, believe that both shareholders and regulators are expected, can create shareholders of the maximization of enterprise value and better reflect the social value of the enterprise and responsibility.

Title: Financial Mixture Operation of the Risk Control Research
Category: Finance economics
Filename: Financial Mixture Operation of the Risk Control Research.doc
Pages: 138
Price: US$38.00
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Source: http://www.economics-papers.com/?p=29139

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