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欧洲主权债务危机从开始浮出水面,到发展、蔓延、危机升级,已持续了整整两年,而这场危机的影响力非但没有缩小,反而从欧元区边缘国向核心国扩散,导致整个欧元区经济陷入了一片恐慌之中。虽然中国并没有受到直接影响,但欧洲经济的颓势导致了我国对欧洲出口量的大幅度减少、大量热钱涌入等等问题,这就决定了我们不能袖手旁观,无动于衷。本文将尝试分析在这场危机中我国应采取的政策措施,以及为如何从中看到新的发展机遇提出看法,从而既达到为欧洲主权债务危机国提供援助以达到缓解世界经济动荡的目的,又尽可能使国内经济保持稳定态势。随着中国在国际政治、金融、贸易等地位的不断提高,我国所持有的态度、所采取的行动,也必将受到其他国家的广泛关注和热议。
The European sovereign debt crisis surfaced from the beginning, to development, spread, crisis escalation, has lasted a full two years, and not only did not reduce the influence of the crisis, but from the euro zone periphery to the core countries spread, leading to the entire euro District economy caught in a panic. Although China has not been directly affected, the decline of the European economy led to a drastic reduction in China’s export volume to Europe and the influx of a large amount of hot money. This made it impossible for us to stand idly and indifferently. This article will try to analyze the policies and measures China should adopt in this crisis and give some suggestions on how to see new development opportunities so as to achieve the goal of providing assistance to the sovereign debt crisis in Europe so as to ease the turmoil in the world economy. As far as possible to maintain a stable domestic economy. As China continues to raise its position in international politics, finance and trade, the attitude and actions China has taken will also be widely concerned and heatedly discussed by other countries.