国际金融研究2025年8月

发布时间:2025-08-15 人气:

目录


探本溯源:国际金融学说的创立和发展概论

贺力平


中国金融安全的混频测度、外部风险溯源与“双支柱”政策调控*
Mixed-Frequency Monitor, External Risk Traceability and Two-Pillar Policy of China's Financial Security

邓创, 杨晨龙, 谢敬轩


合理负债降低收入不平等的经验证据*——基于财务脆弱性视角
Empirical Evidence for Reasonable Debt Reducing Income Inequality —From the Perspective of Financial Fragility

易行健, 杨雨佳, 杨碧云


科技金融对区域资本流入的“撬动效应”研究*
A Study on the “Leveraging Effect” of Science and Technology Finance on Regional Capital Inflows

盛天翔, 马赵平, 范从来, 滕家辉


金融周期、重大突发事件冲击与“三支柱”政策效应评估*
Financial Cycle, Major Event Shocks and Evaluations of the “Three-Pillar” Policies

马亚明, 胡春阳


数字化转型如何赋能零售贷款业务*——基于中国银行业的实证研究
How Digital Transformation Promotes the Retail Loan Business—An Empirical Study of the Banking Industry in China

廉永辉, 陈珊, 李杰


汇率传递与“双支柱”调控的政策效应*
Exchange Rate Pass-Through and the Policy Effects of Dual-Pillar Regulation

马勇, 姜伊晴


知识产权质押贷款与企业创新绩效*——基于A股上市公司的微观证据
Intellectual Property Pledge Loans and Corporate Innovation Performance —Based on Micro Evidence of A-share Listed Companies

黄新飞, 温骏毅, 尤泽燊