金融机构社会责任评价的数学模型分析
Mathematical Model Analysis of Social Responsibility Evaluation of Financial Institutions
摘要: 在世界范围内,为了保证金融机构的社会责任,许多国际组织制定了一套规范。在国内缺少一个统一的评价体系,制约了金融机构履行社会责任实践及效果。因此,基于金融组织承担的社会责任以及金融机构、利益相关者的理论,构建了一种基于风险偏好的金融机构的社会责任指数,并通过定量的方法,构建了金融机构的社会责任评价指标。
Abstract:
In the world, in order to ensure the social responsibility of financial institutions, many international organizations have developed a set of norms. The lack of a unified evaluation system in China restricts the practice and effect of financial institutions to fulfill their social responsibili-ties. Therefore, based on the theories of social responsibility undertaken by financial organizations and financial institutions and stakeholders, a social responsibility index of financial institutions based on risk preference is constructed, and an evaluation index of social responsibility of financial institutions is constructed through quantitative methods.
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