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随着金融市场不断开放,其对政府财政政策和财政绩效信息的反应显得更加快捷和直接,使金融市场得以成为政策制定者评价政策得失和采取修正行动的观测平台。金融市场能够对财政做出反应包含有很多因素,本文围绕着金融市场的易变性、金融开放增强资本流动对财政信息的敏感性以及国家风险及主权评级的兴起等方面,结合金融行业的实践,对金融市场影响财政绩效高度敏感的主要原因进行了分析。
With the continuous opening up of the financial market, its response to government fiscal policy and financial performance information becomes more rapid and direct, enabling the financial market to become the observation platform for policy-makers to evaluate policy gains and losses and take corrective actions. Financial market can make financial response to many factors, this article focuses on the volatility of financial markets, financial openness and enhance the sensitivity of financial flows to the financial information and the rise of national risk and sovereign rating, combined with the practice of the financial industry, The main reasons why financial markets are highly sensitive to financial performance are analyzed.