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美国国债降级以来,全球金融市场动荡加剧,特别是欧洲主权债务危机,已经显著冲击着全球经济的复苏,全球经济进入“二次探底”的可能性在增大。在这样的背景下,如何正确应对,就成为中国宏观政策选择需要超前性、预警性研究的重要课题。从次贷危机到欧美主权债务危机:中国经济状况及其对比在欧洲主权债务不断恶化、全球经济可能滑向“二次探底”的经济环境下,中国经济可能会面临新一
Since the devaluation of the U.S. national debt, the turmoil in global financial markets has intensified. The sovereign debt crisis in Europe in particular has significantly affected the global economic recovery and the possibility of the global economy entering the “second dip” has been increasing. In such a background, how to deal with it correctly has become an important issue that requires advanced and early warning research in China’s macroeconomic policy choices. From the Subprime Mortgage Crisis to the Sovereign Debt Crisis in Europe and the United States: The Economic Situation in China and Its Comparison Under the economic environment that Europe’s sovereign debt is deteriorating and the global economy may slide to the level of “second dip”, the Chinese economy may face a new one