新兴亚洲债券市场会议 Emerging Asian Bond Market Conference
东亚新兴债券市场 east asia emerging bond market
新兴市场债券指数 EMBI ; EMBI Global Index ; JPMorgan EMBI ; JPM EMBI Global index
新兴市场债券基金 Emerging Markets Debt Fund ; Emerging Markets Bond Fund ; PELAX
新兴市场债券 emerging market bonds
基准全球新兴市场债券 EMBIG
球新兴市场债券指数 JP Morgan EMBI Global Index
先机新兴市场债券基金 Skandia Emerging Market Debt Fund
经过以上分析,本文借鉴了新兴债券市场的经验和美国场外债券市场双重监管模式。
Based on the above analysis, the paper internalizes the experience of the emerging bond markets and the USA Dual Supervision Model on OTC bond market.
与此同时,东亚新兴债券市场在制度拓展和制度演化中,新的风险将始终伴随于这一制度变迁的过程。
Meanwhile, the risk will always be there during the process of institution change in East Asia bond markets.
得出的结论是,东亚新兴债券市场风险的根源在于严重的“信息不对称”及缺乏降低这一不对称的制度安排。
The conclusion is that the risk can be attributed to the serious information asymmetry and the absence of the institution arrangement to alleviate the asymmetry in East Asia bond market.
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