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Financial Analytics: Science and Experience
 

Factors of China stock market crisis

Vol. 6, Iss. 7, FEBRUARY 2013

Available online: 21 February 2013

Subject Heading: Stock market

JEL Classification: 

Vakhrushin I.V. PhD in Economics, Senior Research Fellow, the Institute for Far Eastern Studies of RAS
ivmarin14@mail.ru

The article analyzes factors of China stock market crisis that began in 2008. It is shown that the crisis was the result of a combination of internal factors (the «bubble» of the stock market, the psychological factors of behavior of Chinese investors) and external factor of the global financial crisis. It is revealed considerable contribution of China Government and the stock market regulator (CSRC) to address and mitigate the impact of the crisis.

Keywords: China’s stock market, global financial crisis, stock market «bubble», psychological factors of investors’ behavior, internationalization

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ISSN 2311-8768 (Online)
ISSN 2073-4484 (Print)

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