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在2008年初,谁也没有料到全年的经济形势逆转的会如此迅速。2008年上半年,随着食品价格和原材料价格的不断攀升,央行数次上调利率抑制通货膨胀的发生,一时间压通胀成为首要目标。到了六月份随着通货膨胀的回落和国外经济形势的恶化,国内进出口开始出现下滑,保增长开始越过通胀成为中心话题。到了下半年,随着全球范围内的粮食大丰收以及大宗商品价格的回落(最典型的就是石油从140美元的高价跌回40美元),加之经济危机
In early 2008, no one expected the economic situation in the year to reverse so rapidly. In the first half of 2008, with the rising food prices and raw material prices, the central bank raised interest rates several times to curb the incidence of inflation. For a time, inflation was the primary goal. In June, with the fall of inflation and the worsening of the foreign economic situation, the domestic import and export began to decline, and ensuring economic growth began to cross the inflationary became the central topic. By the second half of the year, with the worldwide food harvest and the drop in commodity prices (most notably, the drop in oil prices from $ 140 to $ 40) and the economic crisis