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中国信保总经理助理谢志斌对2012新版《国家风险分析报告》的特点和世界主要经济区的国别风险趋势作了深入解读与分析,他认为:“世界金融市场的脆弱性没有得以修复,市场对单一政治或经济事件易过度反应,金融风险的突发性显著;同时,投资者预期偏于悲观,市场信心不足,避险需求持续增大。”“目前,主权债务危机仍持续演变,全球经济复苏仍然乏力。我们认为,主权债务问题严重的国家未来仍然面临降级压力。”
Xie Zhibin, Assistant General Manager of SINOSURE conducted an in-depth analysis and interpretation of the characteristics of the 2012 “Country Risk Analysis Report” and the country-specific risk trends of the world’s major economic regions. He said: “The fragility of the world financial market has not been repaired and the market Overreaction to a single political or economic event, with sudden and significant financial risks; while investor expectations are gloomy and lack of market confidence, the demand for safe-haven continues to grow. ”" At present, the sovereign debt crisis continues to evolve , The global economic recovery is still sluggish and we think the countries with serious sovereign debt problems will still face the pressure of downgrade in the future.