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Analysis of Problems and Countermeasures in China’s Stock Market

Xiangming Hou ()
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Xiangming Hou: Beijing University of Financial Technology, International Business School

A chapter in Proceedings of the 2025 International Conference on Financial Innovation and Marketing Management (FIMM 2025), 2025, pp 37-42 from Springer

Abstract: Abstract As an essential component of the national financial market, China’s stock market has played a crucial role in promoting economic growth, optimizing resource allocation, and supporting corporate financing. However, with the expansion of market size, China’s stock market also faces numerous issues, such as stock market bubbles, imperfect market institutions, and majority shareholder control, which affect market stability and efficiency. This paper systematically analyzes the major problems currently existing in China’s stock market, explores their underlying causes, and proposes targeted countermeasures based on international experience. The research results indicate that optimizing investor structure, improving market institutions, strengthening supervision, and protecting the rights and interests of small and medium-sized investors are key to promoting the healthy development of the stock market. The research in this paper not only helps to prevent financial risks but also provides policy makers with reform pathways, which is of great significance for promoting the long-term stability and high-quality development of China’s capital market.

Keywords: China’s Stock Market; Stock Market Bubble; Market Institution; Shareholder Control (search for similar items in EconPapers)
Date: 2025
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Persistent link: https://EconPapers.repec.org/RePEc:spr:advbcp:978-94-6463-874-5_6

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DOI: 10.2991/978-94-6463-874-5_6

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