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Integration, Risk and Its Factors in Chinese Government Bond Market

机译:中国政府债券市场的整合,风险及其因素

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This paper constructs indices reflecting the degree of segmentation and risk caused by the segment in Chinese government bond market. Both the degree of segmentation and risk are decreased. In addition, we also analyze the roles of monetary and fiscal policies on the segment and risk. Monetary policy has a much great effect on the segment and its effect on the risk can be offset by the one of fiscal policy. At last, we make some suggestions in detail.
机译:本文构建了反映中国政府债券市场分部造成的分割程度和风险的指标。分割程度和风险都减少。此外,我们还分析了货币和财政政策对细分和风险的作用。货币政策对细分有很大的影响,其对风险的影响可以由财政政策之一抵消。最后,我们详细介绍了一些建议。

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