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2009年的金融市场可谓山重水复柳暗花明。2008年9月15日雷曼兄弟的倒闭把这次百年一遇的金融危机推上顶峰,之后的半年里市场一直持续处在危机状态,股市和商品等风险资产大跌,市场流动性匮乏。直到2009年3月各个国家和地区的救市措施和经济刺激计划陆续出台,市场才惊魂初定,逐渐恢复。由于央行不断向市场注入充足的流
The financial market in 2009 can be described as heavy mountains and clear water. On September 15, 2008, the collapse of Lehman Brothers peaked the once-in-a-century financial crisis. After six months, the market continued to be in a crisis. Risk assets such as stocks and commodities plunged and market liquidity was scarce. Until March 2009 in various countries and regions in the rescue measures and economic stimulus plan gradually introduced, the market was only the beginning of a shame, and gradually recovered. As the central bank continue to inject sufficient flow to the market