南南投資在全球外資中的比重在本世紀出現大幅成長。在南南投資被寄望成為促進南方國家經濟發展新動力的同時,挑戰與問題也接連產生。本研究目的在探討南南投資於南南合作下的意義與南方國家對此投資引發的國家安全之外資政策回應。本文作為探討南南投資與其引發南方國家國安風險之外資政策回應的介紹導論性論文,目的在經由闡釋南南投資的涵義與特性,分析南南投資與國家安全的關聯,再提出初步的理論解釋說明南方國家對此類外資引發之國安疑慮的外資政策回應,並輔以相關案例分析說明,以作為後續..
The South-South investment has increased dramatically in the 21st century. It has been anticipated to promote South Countries’ economic development, while related problems and challenges remain. The goal of this essay is to explore the significance of South-South investment in the context of South-South Cooperation, and the South Countries’ policy responses to national security risk over South-South investment. This article is designed to be an introductory essay, with a moderate goal of illustrating th..
2008年全球金融危機爆發,重挫跨國資本市場;既有全球金融治理機制備受質疑之餘,也開啟2008年之後繁複的治理機制改革之路。 本研究認為2008年之後的全球金融治理機制改革有三個不同的層次:從規範、制度到結構,每個層次對於治理機制改革的重點議題與運作方式與目的各有不同的掌握。規範層次與制度層次的共同點在於皆強調在既有金融治理機制的改革;二者差別在於,規範層次專注於監理內容的補強,而制度層次側重行為者之間的互動方式與關係。較諸前二者,結構..
This paper examines the reform of global financial governance mechanism after the global financial crisis in 2008. The research argues that three different levels of reform could be identified in order to get a thorough understanding of the governance reform during the last ten years, i.e. regulatory level, institutional level, and structural level, each of which assumes different causes to the financial crisis and prescriptions to the problematic governance mechanism reform. Regulatory reform supporters..
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