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造成一国金融危机的四大因素在中国虽然也存在,但中国发生的概率都比较低,或政策已大大缓解其对经济的冲击,中国经济应对新一轮国际金融危机冲击仍然有巨大的回旋空间。随着欧洲主权债务危机的继续发展和美国债务问题引发的国际市场动荡,全球经济可能再次面临严峻考验。纵观上世纪八十年代以来世界金融危机的发生发展过程,笔者认为,中国当前应对国际金融危机影响仍然有巨大回旋空间。
Although the four major factors contributing to the financial crisis in a country exist in China, the probability of occurrence in China is relatively low or its policies have greatly alleviated its impact on the economy. The Chinese economy still has a huge swing in response to the new round of international financial crisis space. With the continued development of the sovereign debt crisis in Europe and the turmoil in the international market triggered by the U.S. debt problem, the global economy may once again face a severe test. Looking at the occurrence and development of the world financial crisis since the 1980s, the author believes that China still has a huge room for maneuver in the current global financial crisis.