Risk Management of the Bank Interest Rates under the Background of Interest Rate Marketization
- DOI
- 10.2991/msetasse-16.2016.215How to use a DOI?
- Keywords
- Interest Rates, Marketization, Commercial Banks, Risk Management
- Abstract
In recent years, interest rate risk management has become a commercial bank management in a common management method that most commonly used in the bank's risk management and control. Given Chinese banking spreads in income increases the proportion of bank profits, increased interest rates marketization reform, interest rate management of the bank's gradual emergence of new problems and challenges. In this paper, the current interest rate marketization background, our interest rate risk management in banks is analyzed, and the relevant countermeasures and suggestions in accordance with the bank interest rate risk management.
- Copyright
- © 2016, the Authors. Published by Atlantis Press.
- Open Access
- This is an open access article distributed under the CC BY-NC license (http://creativecommons.org/licenses/by-nc/4.0/).
Cite this article
TY - CONF AU - Yunlei Huo PY - 2016/11 DA - 2016/11 TI - Risk Management of the Bank Interest Rates under the Background of Interest Rate Marketization BT - Proceedings of the 2016 4th International Conference on Management Science, Education Technology, Arts, Social Science and Economics (msetasse-16) PB - Atlantis Press SP - 1008 EP - 1010 SN - 2352-5398 UR - https://doi.org/10.2991/msetasse-16.2016.215 DO - 10.2991/msetasse-16.2016.215 ID - Huo2016/11 ER -