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2007年下半年开始的美国次贷危机、全球商品价格的暴涨以及新兴经济体的飞速发展引发了全球经济的不平衡,甚至在2008年出现拐点迹象。分析各种因素对全球经济的影响,以及各经济体可以分别对此采取的应对策略。
The subprime mortgage crisis started in the second half of 2007, the skyrocketing global commodity prices and the rapid development of emerging economies triggered an imbalance in the global economy. Even signs of inflection point appeared in 2008. Analyze the impact of various factors on the global economy and the respective strategies that each economy can take.