李晓晟.基于因子分析的京津冀金融发展水平评价及协同发展研究[J].唐山学院学报,2019,32(3):63-70 |
基于因子分析的京津冀金融发展水平评价及协同发展研究 |
Research on Financial Development Level Evaluation and Coordinated Development of Beijing,Tianjin and Hebei Based on Factor Analysis |
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DOI:10.16160/j.cnki.tsxyxb.2019.03.014 |
中文关键词: 京津冀 金融发展水平 协同发展 因子分析 |
英文关键词: Beijing, Tianjin and Hebei financial development level coordinated development factor analysis |
基金项目:河北省社会科学基金项目(HB18GL018);河北省软科学计划项目(15455309D);河北省社会科学发展研究项目(201809020206) |
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中文摘要: |
基于因子分析和聚类分析方法,对京津冀各城市金融发展水平进行评价,发现京津冀金融协同发展存在的问题,探索京津冀金融协同发展的策略。由此得出结论为:北京应定位于京津冀地区的金融决策中心;天津应成为京津冀的金融创新示范区;河北应为京津两地提供金融后台支持,并有效承接京津的金融产业转移。 |
英文摘要: |
Based on factor and cluster analysis,this paper evaluates the financial development level of Beijing,Tianjin and cities in Hebei, summarizes the problems in the financial coordinated development and explores the corresponding strategies for its development. A conclusion is reached that Beijing should be positioned as the financial decision-making center, Tianjin the demonstration area of financial innovation, Hebei financial backstage support for Beijing and Tianjin. Hebei should effectively undertake the financial industry transferred from Beijing and Tianjin. |
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