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2011年全球经济发展跌宕起伏,经济增长总体呈现前高后低的态势,复苏势头有所减弱。尤其是发达国家主权债务问题持续发酵,成为拖累全球经济发展最主要的不确定性因素,也造成了国际金融和商品市场的剧烈动荡;相比而言,新兴市场国家总体保持较高增速,但受外需环境恶化、较大通胀压力等因素影响,也出现经
In 2011, the global economic development ups and downs, the overall economic growth showed the trend of high and then low, the recovery has weakened. In particular, the sustained fermentation of the sovereign debt problem in the developed countries has become the most important uncertainty factor that has dragged down the global economic development and has also caused violent unrest in the international financial and commodity markets. In contrast, the emerging market countries as a whole maintained their relatively high growth rate, However, due to the deteriorating external environment and the inflationary pressure, other factors have also emerged