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Motivated by growing concerns about the risks and instability of China's financial system, this article reviews several commonly perceived financial risks and discusses their roots in China's politico-economic institutions. We emphasize the need to evaluate these risks within China's unique economic and financial systems, in which the state and non-state sectors coexist and the financial system serves as a key tool of the government to fund its economic policies. Overall, we argue that: (1) financial crisis is unlikely to happen in the near future, and (2) the ultimate risk lies with China's economic growth, as a vicious circle of distortions in the financial system lowers the efficiency of capital allocation and economic growth and will eventually exacerbate financial risks in the long run.
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In: Annual Review of Financial Economics, Band 10, S. 261-286
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In: The Scandinavian Journal of Economics, Band 116, Heft 4, S. 982-1011
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In: NBER Working Paper No. w21006
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In: China economic review, Band 30, S. 301-303
ISSN: 1043-951X
In: NBER Working Paper No. w25839
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In: University of Chicago, Becker Friedman Institute for Economics Working Paper No. 2019-134
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In: UBS Center Working Paper Series, Working Paper No. 1, November 2012
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In: Hong Kong Institute for Monetary and Financial Research (HKIMR) Research Paper WP No. 19/2021
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In: NBER Working Paper No. w27404
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