Debt and Distortion Risks and Reforms in the Chinese Financial System /
| المؤلف الرئيسي: | |
|---|---|
| مؤلف مشترك: | |
| الملخص: | XVIII, 270 p. text |
| اللغة: | الإنجليزية |
| منشور في: |
London :
Palgrave Macmillan UK : Imprint: Palgrave Macmillan,
2016.
|
| الطبعة: | 1st ed. 2016. |
| الموضوعات: | |
| الوصول للمادة أونلاين: | https://doi.org/10.1057/978-1-137-53401-9 |
| التنسيق: | الكتروني كتاب |
جدول المحتويات:
- PART I. CURRENT ECONOMIC MODEL.-1. Growth model
- 2. Financial risks.-3.Financial repression
- 4. Government guarantees
- 5. International distortions
- 6. Overview
- PART II. DOMESTIC REFORMS
- 7. Banking. 8. Shadow banking.-9. Stock markets.' 10. Bond markets
- 11. Local government debt
- 12. Real estate market
- PART III. INTERNATIONAL REFORMS
- 13. Exchange rate liberalization
- 14. Renminbi internationalization
- 15. Capital account liberalization
- 16. Asian Infrastructure Investment Bank and the New Silk Road
- PART IV. POLITICS
- 17. Political conflicts over reforms
- 18. Strategies to overcome opposition to reform
- PART V. RISKS AND CONSEQUENCES
- 19. Domestic risks
- 20. International consequences of reform
- 21. The Future.-.