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国际金融危机对乌克兰经济的冲击,2009年最为严重。根据2010年的统计数据判断,乌克兰经济已经复苏,但未能恢复到危机前的水平;经济复苏也远未能弥补经济遭受的负面冲击。宏观经济的失衡状态不仅未能改善,反而还有所恶化。乌克兰财政赤字和公共债务两项指标居高不下,其中,公共债务指标呈现继续扩大的趋势,埋下了财政危机和债务危机的隐患,构成国际资本市场上的不安全因素。伴随着经济的复苏,乌克兰就业状况未能随之好转,表明该国宏观经济目前仍处于调
The impact of the international financial crisis on the Ukrainian economy was the most serious in 2009. Judging from the 2010 statistics, the Ukrainian economy has recovered but failed to return to its pre-crisis level; the economic recovery is far from compensating for the negative impact on the economy. The imbalance of the macro economy has not only failed to improve, but has worsened. The two indicators of the fiscal deficit and public debt in Ukraine are high. Among them, the indicators of public debt continue to expand, laying the hidden dangers of the financial crisis and the debt crisis, which constitute the insecurity in the international capital markets. With the economic recovery, the employment situation in Ukraine has not been able to be improved, indicating that the country’s macro economy is still in tune