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本文从税收政策、国债发行政策等方面探讨了财政政策在国债衍生市场风险控制中的作用,并分析了财政政策与货币政策在调节国债市场风险中的相互协调。
This paper discusses the role of fiscal policy in the risk control of government bond derivative market from the aspects of tax policy and government bond issue policy, and analyzes the mutual coordination of fiscal policy and monetary policy in adjusting the risk of bond market.