运用供求理论和模型分析金融监管国际合作供求非均衡现状,可以发现,在开放程度、经济体制、金融结构方面的差异是造成金融监管国际合作非均衡的主要原因。据此,应基于国家利益建立分层次的金融监管国际合作;加强国家之间的沟通机制;统一会计准则,加强信息披露合作,推动金融监管国际合作的进步。
The article employs theories and models to analyze current imbalanced international cooperation of financial supervision. It concludes that discrepancies in openness extent, economic system and financial structure are the main reason conducing to such imbalance. For this reason, we should establish multi-tier in- ternational cooperation of financial supervision, strengthen communication mechanism, unify accounting system, execute disclosure of information, and promote the progress of international cooperation.