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自2009年底欧债危机爆发以来,不断升级,不仅对欧洲金融体系产生了巨大冲击,还导致全球金融市场动荡,投资环境恶化,给世界经济带来了较大的影响。2012年1月2日标普公司再次调低了欧元区九国主权信用评级,致使欧债危机雪上加霜。作为与欧盟经济关系密切的中国亦不能独善其身。本文从欧债危机的含义出发,分析了欧债危机产生的原因,探讨了欧债危机升级对中国经济可能带来的影响及对中国的启示。
Since the outbreak of the European debt crisis at the end of 2009, the escalation has not only had a tremendous impact on the European financial system, but also led to turmoil in the global financial markets and the deterioration of the investment environment, which has greatly affected the world economy. January 2, 2012 S & P downgraded sovereign credit ratings of the nine countries in the euro area again, causing the European debt crisis worse. China, which has close ties with the EU economy, should not be alone. This article starts from the meaning of the debt crisis in Europe, analyzes the causes of the debt crisis in Europe, explores the possible impact of the escalation of the debt crisis on China’s economy and its implications for China.