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由“次级债券危机”引发的全球股灾虽然暂时平息,但美国次级债券危机的深远影响却远远还没有消除。它给我们带来哪些警示?应该从中吸取哪些教训?值得我们深入思考。警示一:经济增长中不应放松风险控制。
Although the global stock market disaster triggered by the “subordinated debt crisis” has temporarily subsided, the far-reaching impact of the U.S. subordinated debt crisis has not yet been eliminated. What warnings does it bring us? What lessons should we draw upon? It deserves our deep consideration. Warning one: economic growth should not relax risk control.