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2012年一方面会延续2011年宏观经济的发展趋势,另一方面也将面临欧洲主权债务危机的深度调整、中国房地产市场的全面逆转以及中国宏观经济政策转向等因素冲击,从而呈现出“前低后稳”的发展态势。一、复苏受挫与风险加剧的外部环境2011年美国经济增长的放缓、欧洲主权债务危机的全面爆发以及以“阿拉伯之春”
On the one hand, the macroeconomic development in 2011 will continue on the one hand, and on the other hand, it will face profound changes in the sovereign debt crisis in Europe, the full reversal of the real estate market in China and the shift in China’s macroeconomic policy. Low and steady “development trend. First, the recovery setback and the risk of exacerbating the external environment US economic slowdown in 2011, the full eruption of the European sovereign debt crisis and the ”Arab Spring"