《中国金融稳定报告(2008)》在基本承袭去年文体结构的基础上,继续尝试增加量化分析的内容。在综合评估了2007年中国金融稳定总体状况后,分析宏观经济运行环境对金融稳定的影响;还分别对银行业、证券业和资本市场、保险业的改革发展状况及其对金融稳定的影响进行评估;重点讨论金融基础设施建设的进展情况;探讨系统性金融风险的产生途径、管理框架和中国管理金融风险的成功经验。各章共穿插了13个专栏,对一些关系中国金融稳定的重要问题进行深入分析和探讨。
Overview
Chapter Ⅰ Macroeconomic Environment
Chapter Ⅱ Banking Sector
Chapter Ⅲ Securities Sector and the Capital Market
Chapter Ⅳ Insurance Sector
Chapter Ⅴ Financial Infrastructure
Chapter Ⅵ Management of Systemic Financial Risks
Special Topic Fund Utilization of Insurance Companies and Development of the Insurance Sector
Appendix Ⅰ A Quantitative Analysis of the Soundness of the Banking Sector:the Case of 15 Commercial Banks
Appendix Ⅱ Statistics
Boxes
1. The Share-holding Reform of ABC Advanced Steadily
2. Merger and Acquisition (M&A) of International Banking Sector
3. International Comparison of Stock Issuance Systems
4. The Relationship between Securities Investment Fund and Stock Market Fluctuation
5. Swine Insurance
6. Corporate Annuity
7. Progress Achieved in the Shareholding Reform of China Re
8. Building an Olympics-friendly Payment Environment
9. The Property Law and Its Significance for the Development of Financial Sector
10. China's FATF Membership
11. The US Sub-prime Crisis and Its Impact
12. The Case of Northern Rock
13. Corporate Social Responsibility and Sustainable Development