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金融作为现代经济的主要支柱,对经济具有牵一发而动全身的巨大作用。如果国家的金融出现了大的冲击,那么金融冲击造成的余波会迅速的扩展到这个国家的经济、制度等方面,从而导致政治的迅速垮台和经济体的快速衰落。所以正确的认识并辨别金融危机的产生,并对此采取快速的反应,对维护国家和社会的平稳发展有着至关重要的作用。由于当前世界各国的经济体正在逐步走向联合,所以对于某些西方发达国家来说,利用自己的经济霸主地位迅速控制其他国家是他们的企图,这就对其他国家造成了巨大的压力。本文首先论述了金融冲击从哪几方面对经济的波动造成影响,然后论述了应该采取什么样的措施来消除或抵消其不利影响。
As the main pillar of the modern economy, finance has a tremendous impact on the economy. If the national financial crisis has a big impact, the aftermath caused by the financial shock will rapidly spread to the country’s economy and system, leading to the rapid political collapse and the rapid decline of the economy. Therefore, to correctly understand and distinguish the financial crisis and take a quick response to it is of crucial importance in safeguarding the smooth development of the country and society. As the economies of various countries in the world are gradually uniting, so for some western developed countries, using their economic hegemony to rapidly control other countries is their attempt, which exerts tremendous pressure on other countries. This paper first discusses the impact of financial shocks on economic fluctuations and then discusses what measures should be taken to eliminate or offset its adverse effects.