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中国债券市场信用风险与违约案例研究

债券市场 金融风险防范 研究 中国

2017-10-01

978-7-5203-1001-7

262

65

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内容简介

伴随着中国债券市场规模的快速增长和产品品种的不断的多样化,债券市场的信用违约风险不断累积。随着宏观经济下行压力不减,信用风险与违约事件频繁发生,债券市场发展及其风险演变均进入了新常态,防范信用风险成为资本市场不可避免的话题。与此同时,随着我国债券市场对外开放和人民币国际化进程的不断推进,参与主体更为多元化,债券通之后,国际投资者对国内债券市场及其信用风险相关的需求日益提升。在这种背景下,有必要通过对目前信用风险和违约事件进行梳理分析,研究违约形成的原因、后续进展,尤其是违约后的处置机制以及回收情况等方面,本书正是力图解决和研究这些问题。

With the rapid growth of China's bond market and the continuous diversification of product varieties, credit default risks in the bond market continue to accumulate. With the unabated downward pressure on the macroeconomy, the frequent occurrence of credit risk and default events, the development of the bond market and its risk evolution have entered a new normal, and preventing credit risk has become an inevitable topic in the capital market. At the same time, with the continuous opening up of China's bond market and the internationalization of RMB, the participants are more diversified, and after the Bond Connect, the demand of international investors for the domestic bond market and its credit risk is increasing. In this context, it is necessary to sort out and analyze the current credit risk and default events, and study the causes of default, subsequent progress, especially the post-default disposal mechanism and recovery situation, etc., which this book tries to solve and study.(AI翻译)

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