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后金融危机时期公司治理整合框架分析

徐莉萍 辛宇 李善民

南京工业大学学报:社会科学版2012,Vol.11Issue(2):61-67,7.
南京工业大学学报:社会科学版2012,Vol.11Issue(2):61-67,7.

后金融危机时期公司治理整合框架分析

An Integrated Framework of Corporate Governance in the Post Financial Crisis Era

徐莉萍 1辛宇 1李善民1

作者信息

  • 1. 中山大学管理学院,广东广州510275
  • 折叠

摘要

Abstract

This paper surveys the most recent development of corporate governance after financial crisis of 2008, and proposes an integrated framework of corporate governance. The framework emphasizes the comprehensive and systematic nature of corporate governance. The core of the framework is the quality of decision-making. While value-creation is the ultimate goal, a healthy corporate governance mechanism should include risk-management, and be established in a stakeholder perspective. The tools to analyzing corporate governance are not limited to economics, but also include psychology, behavior science, and behavior finance, as well. Finally, the paper discusses the theoretical, practical, and policy implications of the integrated framework

关键词

后金融危机/公司治理/整合框架

Key words

post financial crisis era/corporate governance/integrated framework

分类

经济学

引用本文复制引用

徐莉萍,辛宇,李善民..后金融危机时期公司治理整合框架分析[J].南京工业大学学报:社会科学版,2012,11(2):61-67,7.

基金项目

国家自然科学基金面上项目 ()

国家自然科学基金青年项目 ()

教育部2010年新世纪优秀人才项目 ()

广东高校人文社科研究重大课题攻关项目 ()

中山大学985工程三期建设项目 ()

南京工业大学学报:社会科学版

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1671-7287

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