Overview
- Analyzes major risks facing enterprises, households, government, the financial system and the external economic environment
- Bases viewpoints on extensive data from China’s national balance sheet over the past 12 years
- Poses recommendations on market regulation and reform from the perspective of improving supply-side structural reforms
Part of the book series: Research Series on the Chinese Dream and China’s Development Path (RSCDCDP)
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Table of contents (6 chapters)
Keywords
About this book
Editors and Affiliations
Bibliographic Information
Book Title: Managing Financial Risks Amid China's Economic Slowdown
Editors: Yang Li
Series Title: Research Series on the Chinese Dream and China’s Development Path
DOI: https://doi.org/10.1007/978-981-13-5752-7
Publisher: Springer Singapore
eBook Packages: Economics and Finance, Economics and Finance (R0)
Copyright Information: Social Sciences Academic Press and Springer Nature Singapore Pte Ltd. 2019
Hardcover ISBN: 978-981-13-5751-0Published: 15 October 2019
eBook ISBN: 978-981-13-5752-7Published: 01 October 2019
Series ISSN: 2363-6866
Series E-ISSN: 2363-6874
Edition Number: 1
Number of Pages: XIX, 166
Number of Illustrations: 2 b/w illustrations, 71 illustrations in colour
Topics: Macroeconomics/Monetary Economics//Financial Economics, Risk Management, Development Economics