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市场疲软是相对于市场繁荣而言的。我国的市场疲软通常是由国家、生产者、消费者、商业企业等多种力量的合力造成的。首先,无论是90年代初期因治理整顿而出现的市场疲软,还是目前因国家加大宏观调控力度而出现的市场疲软,都与国家的宏观调控有很大关系。宏观政策中对市场影响最大的莫过于两个方面:一是控制新开工基建项目,一些在建项目停建或缓建;二是货币投放实施从紧的政策。这二者,对完成宏观调控的首要任务——控制物价上涨,无疑具有釜底抽薪的功效,但对市
Market weakness is relative to market prosperity. The weakness of the market in our country is usually caused by the combined efforts of many countries, producers, consumers and commercial enterprises. First of all, whether it is the market weakness due to rectification and rectification in the early 1990s or the current market weakness resulting from the country’s intensified macroeconomic regulation and control, there is a great relationship with the macroeconomic regulation and control of the country. There are two aspects of the macroeconomic policy that have the most impact on the market: one is to control newly started infrastructure projects, some are under construction or slow construction, and the other is to implement a tight monetary policy. Both of these are the primary tasks for completing the macro-control - to control price increases, which undoubtedly have the effect of drafting the money. However,