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随着全球化和经济一体化的加快,“一带一路”、亚太区域金融经济合作再次成为各方关注的热点。中国海外投资战略一定要综合考虑命球经济、宏观政策、监管政策、市场环境、投资地区与行业、税收政策、法律环境等综合因素,充分了解全球财富流向的最新趋势,推动政府与市场等各方面的国际合作。目前,全球市场的关注问题是全球经济是否可以在量化宽松货币政策逐步退出的前提下逐步复苏,新兴市场在面临货币贬值
With the acceleration of globalization and economic integration, “Belt and Road”, the financial and economic cooperation in the Asia-Pacific region has once again become a hot issue of all parties concerned. China’s overseas investment strategy must fully consider the latest trends in the global wealth flow by comprehensively considering such factors as the life-fating economy, macroeconomic policies, regulatory policies, market conditions, investment regions and industries, taxation policies and the legal environment, and promote the government and the market Aspects of international cooperation. At present, the global market’s concern is whether the global economy can gradually recover under the gradual withdrawal of quantitative easing monetary policy. Emerging markets are facing currency devaluations