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近一段时间以来,欧美债务问题的持续发酵,不仅加重了对世界经济前景的悲观情绪,还严重冲击到国际金融市场,阻碍了世界经济复苏的步伐。以国际评级机构标普将美国长期主权信用评级下调为起点,国际金融市场呈现的宽幅、高频的振荡走势均是欧美债务危机的集中反应。欧美债务危机下国际金融市场的表现
Recently, the continuous fermentation of the debt problems in Europe and the United States has not only aggravated the pessimistic mood about the world economic outlook but also seriously affected the international financial markets and hindered the pace of world economic recovery. With the international rating agency Standard & Poor’s downgrading the long-term sovereign credit rating of the United States as a starting point, the broad and high-frequency oscillating trends in international financial markets are the concentrated responses of the debt crisis in Europe and the United States. The performance of international financial markets under the debt crisis in Europe and America