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二季度当季,GDP同比增长10.3%,CPI同比上涨2.9%,人民币贷款新增2.03万亿元,国民经济运行持续向好的基本面没有发生变化,正朝着宏观调控预期的方向发展:(1)欧洲主权债务危机使中国经济增长的外部环境趋于复杂,但对中国经济产生较大冲击的可能性不大;(2)短期内受房地产调控等政策的影响,长期受节能减排和经济结构调整政策的制约,前期过快膨胀的国内需求得到有效遏制,经济增速有所减缓,经济“二次探底”的可
In the second quarter of the year, GDP grew 10.3% YoY and CPI rose 2.9% YoY, while RMB loans increased 2.03tn Yuan. The fundamentals of continuing improvement of the national economy have not changed and are moving toward the expected macroeconomic control: 1) The European sovereign debt crisis tends to complicate the external environment of China’s economic growth but it is unlikely that it will have a large impact on the Chinese economy. (2) In the short term, due to policies such as real estate regulation and control, Restricted by the policy of economic structural adjustment, the domestic demand in the early period of rapid expansion has been effectively contained and the economic growth has slowed down. The economy can be “double-dipped”