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编者按:2011年是“十二五”开局之年,我国经济发展面临的形势错综复杂。近来,欧债和美债危机加剧,全球经济二次探底的可能性加大,主要发达经济体进一步推行宽松货币政策,全球流动性大量增加,国际大宗商品价格和主要货币汇率加剧波动,新兴市场资产泡沫和通胀压力加大,保护主义继续升温,导致国际市场竞争更加激烈,存在大
Editor’s Note: 2011 is the first year of the 12th Five-Year Plan. The situation facing China’s economic development is complex. Recently, the European debt crisis and the U.S. debt crisis have intensified. The possibility of a double dip in the global economy has increased. Major advanced economies have further implemented the policy of easing monetary policy. Global liquidity has increased substantially. The international commodity prices and major currencies have been experiencing volatility. Emerging markets Asset bubbles and inflationary pressures, protectionism continues to heat up, leading to more intense competition in the international market, there is a big