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大环境下,对于做一线经营的企业家来说,金融风险爆发的频率在增加,新的增长点没法弥补产能过剩对整个环境的负面冲击。一旦资产收益率无法弥补融资成本,无论是传统业态还是新业态,都面临被挤爆的风险。我们遇到了改革开放以来最大的挑战,传统模式不可持续。房地产高库存,不可能短期内得到解决;产能过剩,不能像上世纪90年代那样大规模地去产能,因为现在已经不具备90年代的社会条件了。90年代朱镕
In the macro environment, for the first-tier entrepreneurs, the frequency of financial risk explosion is increasing. The new growth point can not make up for the negative impact of overcapacity on the entire environment. Once the return on assets can not make up for the financing costs, both the traditional format and the new format, are exposed to the risk of being squeezed out. We have encountered the biggest challenge since the reform and opening up and the traditional model has not been sustainable. High real estate inventories can not be solved in a short period of time. Overcapacity can not be achieved on a large scale as it did in the 1990s as the social conditions of the 1990s are no longer met. 90 years Zhu Rong