China’s Response to the Financial Crisis and the Impacts on the Chinese Economy and Financial Markets: (A Risk Management perspective)
The paper involves discovering how the Chinese government response to the recent financial crisis. The goal is to show that China’s particular situation of its financial market and government intervention was the main reason that China’s banking sector not suffered from the global systematic risk. T...
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| Format: | Dissertation (University of Nottingham only) |
| Language: | English |
| Published: |
2012
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| Online Access: | https://eprints.nottingham.ac.uk/25445/ |