ID | 147023 |
Title Proper | Crisis of China's stock market in 2015-2016 |
Other Title Information | emergence factors and prevention policy |
Language | ENG |
Author | VAKHRUSHIN, Ivan |
Summary / Abstract (Note) | The author singles out the key factors that have led to another profound crisis of the share market in China in 2015-2016. Apart from the slowing down of economic progress, pressure on the part of the currency market, and worsening of the general economic situation, the brant of responsibility for the crisis lies with the China Securities Regulatory Commission, which pursued a policy of excessive market incentives during the precrisis period. |
`In' analytical Note | Far Eastern Affairs Vol. 44, No.2; 2016: p.68-86 |
Journal Source | Far Eastern Affairs Vol: 44 No 2 |
Key Words | China Securities Regulatory Commission ; Shenzhen Stock Exchange ; Stock Market Crisis In China ; Share Market In the Prc, Shanghai Stock Exchange |