중국 금융시장 발전 보고서In 2018, the momentum of world economic growth dwindled down, the development of international financial markets diverged, and the overall financial environment became tightened to some extent. Notwithstanding the complicated economic and financial environment with increasing domestic and international affecting factors, China’s economic development was generally stable and remained relatively resilient. The financial market achieved broadly stable growth while making further progress, with market reform and innovation deepened, and its functions optimized in serving the real economy, including private businesses and micro and small enterprises (MSEs). Measures for further opening-up were implemented step by step, and the efforts to prevent and defuse financial market risks in a market-and law-based manner were well paid off. The financial market of China witnessed stable development.
Chapter 1 Overview
Chapter 2 Money Market
Chapter 3 Bond Market
Chapter 4 Stock Market
Chapter 5 Foreign Exchange Market
Chapter 6 Gold Market
Chapter 7 Insurance Market
Chapter 8 Derivatives Market
Details |
---|
Region : CHINA Publish Date : 2022.01 Language :english Form : general Document :pdf |
KRW 3,800,000FREESave aid : CFMDR |