Abstract

Along with the development of economic globalization, all countries have got the development of the huge interest, and the economy has made rapid progress as well. But at the same time, they are also under huge financial risk, what’s more, the financial crisis has occurred from time to time. The assessment of the risk of financial institutions is one of the important ways to predict and deal with the financial crisis. This paper summarizes the current financial risk assessment system, then puts forward the ideas and methods of the establishment of financial institutions risk model, analyzes the internal and external financial risks, and to study its function. Finally, this paper puts forward two important measures of market oriented and government intervention to deal with financial risks.

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