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美债信用评级下调,引发冲击波,而美联储“扭转操作”政策再次雪上加霜,全球性股市巨幅震荡接连袭来。中国应设法摆脱美元陷阱并适当缩减外汇规模,以降低全球震荡对中国资本市场的影响。
The downgrade of the US debt rating led to the shock wave, and the Fed’s policy of “reversing operations” once again worsened. The global stock market was hit by a series of huge shocks. China should try to get out of the trap of the U.S. dollar and reduce the size of foreign exchange appropriately to reduce the impact of global turmoil on China’s capital market.