مجلة اقتصاديات شمال افريقيا
Volume 8, Numéro 10, Pages 47-66
2012-09-08

تقييم إدارة المخاطر في النظام المالي الصيني في ظل تأثيرات الأزمة المالية العالمية

الكاتب : بن عطا الله عائشة .

الملخص

This study is trying to determine the financial risks features that the Chinese financial system has faced it during the recent global financial crisis, depend on a number of indicators as a average inflation, exchange rate risk, stock market fluctuations, banking sector risks and estate market risks. To evaluate the financial risk management levels through analysis the financial system qualifications and those measures that adopted by Chinese government

الكلمات المفتاحية

financial risks, financial system, financial crisis, China