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2008年以来,世界经济环境变化加剧,受美国次贷危机的影响,全球主要资本市场大幅震荡,美元持续贬值,国际市场石油、铁矿石、粮食等初级产品价格高位徘徊,导致全球性的物价上涨;在国内为防止由结构性通胀转为全面通货膨胀,防止经济发展由偏快到过热,中央实施从紧的货币政策。在上述因素影响下国内钢材代理商也面临外部经营环境的快速变化。
Since 2008, the world economic environment has been aggravated. Influenced by the subprime mortgage crisis in the United States, the major capital markets in the world have fluctuated sharply, the U.S. dollar has continued to devalue, and the prices of commodities such as oil, iron ore and grain in the international market have been hovering at high levels, causing global price hikes In the country, the central government implemented a tight monetary policy in order to prevent it from turning structural inflation into full-scale inflation and preventing economic growth from becoming overheated. Under the above factors, domestic steel agents also face rapid changes in the external business environment.