Abstract
The hybridization of socialist state control with increasingly complex financial markets has generated unusual features in China's financial regulatory regime. Using the 2015–2016 stock market crisis as a case study, this article draws on the Legal Theory of Finance (LTF) to analyze the state-market interface and crisis governance in China's stock market. It illustrates the shift of China's stock market governance away from traditional administrative hierarchies to more plural and hybrid forms of ownership, control, and regulatory governance. By examining the policy process, market dynamics, and crisis management in the evolution of China's 2015–2016 stock market crashes, it identifies the endogenous dilemmas of regulatory elasticity and campaign-style enforcement in China's hybrid regulatory regime, which have amplified policy noises and led to a destabilizing feedback loop between policy-induced market turbulence and market-induced organizational turbulence inside the regulatory bureaucracy. © 2020 John Wiley & Sons Australia, Ltd.
| Original language | English |
|---|---|
| Pages (from-to) | 392-408 |
| Number of pages | 17 |
| Journal | Regulation and Governance |
| Volume | 16 |
| Issue number | 2 |
| Online published | 5 Apr 2022 |
| DOIs | |
| Publication status | Published - Apr 2022 |
| Externally published | Yes |
Funding
Chen Li is grateful for the funding support to this research project by Hong Kong Research Grants Council (RGC) ECS Grant, Project No: 24617218.
UN SDGs
This output contributes to the following UN Sustainable Development Goals (SDGs)
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SDG 10 Reduced Inequalities
Research Keywords
- China's financial reform
- financial regulation
- governance
- hybridization
- stock market crisis
RGC Funding Information
- RGC-funded
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