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Systemic Risks in China’s Bond Market

Gateway International Group Ltd, Dec 2011, Pages: 7


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In 2011, the central bank of China will switch its monetary policy from “moderately easy” to “prudent”, returning to the normal situation. In this context, and supposing that the economic and financial reality is coupled with other deflationary policies introduced by the central bank, the corresponding outcome will be a decline in market liquidity and a potential rise in systemic risks in the bond market. Currently, as a major part of the Chinese capital market, the bond market has a wide sphere of influence and significant importance for financial stability


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