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我国加入WTO后,外债项下的交易量和频率逐步增加,真实性、合规性审核难度加大,事前逐笔审批的管理成本升高,外债管理将面临新的挑战。外债风险尤其是或有负债风险控制的任务更艰巨。本专题主要从外债的宏观管理、对外担保、飞机租赁、保单质押、实物外债的不同角度来探讨新形势下外债管理方式变革的思路。
After China’s accession to the WTO, the transaction volume and frequency under foreign debts have been gradually increasing. It is more and more difficult to verify authenticity and compliance, and the management cost of prior examination and approval increases, so the foreign debt management will face new challenges. The task of foreign debt risk control, especially of contingent liability risk, is even more arduous. This topic mainly discusses the ideas of the reform of the foreign debt management mode in the new situation from the perspectives of the macro-management of foreign debts, external guarantees, aircraft leasing, policy pledge and physical foreign debt.