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于1929年爆发的美国股票市场大崩盘是20世纪最重要的历史事件之一。这次崩溃是由多方面原因共同作用的结果,除了经济运行周期这一根本原因外,美国当时金融市场自身存在的一些缺陷和局限性更是导致其发生的直接原因。我们应该认真吸取美国1929年股市崩盘的历史教训,使我们有足够的政策手段防止可能出现的股市崩盘,从而保证股票市场的有效平稳运行。
The collapse of the U.S. stock market in 1929 was one of the most important historical events of the 20th century. The collapse was a result of a combination of many reasons. Except for the root cause of the economic operation cycle, the shortcomings and limitations of the financial market in the United States at the time were the direct causes of its occurrence. We should carefully draw lessons from the historical lesson of the 1929 stock market crash in the United States so that we have sufficient policy measures to prevent a possible stock market crash so as to ensure the effective and stable operation of the stock market.