本书共三部分。第一部分为基础理论,主要阐述金融风险的来源、特征及其分类;第二部分为基本框架与基本策略,分别阐述了金融风险预防与控制的总体思路、体系与基本策略;第三部分为防控策略,阐述了各类金融风险识别、度量、防范、控制与处置不良资产资产的策略与方法。
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