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维持股市的稳定,关乎中国在全球经济中的资本向心力2015年刚过一半,值此前后两个半年交接之际,全球经济两个核心地域的两个财经变局吸引了财经界的高度关注。两个核心分别为欧盟和东亚,两个财经变局分别是希腊违约和中国股市意外大跌。希腊违约发生在2015年上半年最后一天。希腊未能如期偿还IMF到期的将近16亿欧元债务,这不仅意味着在IMF之70年的历史上,希腊成了第一个对该组织债
Maintaining the stability of the stock market relates to the fact that China’s capitalism in the global economy barely halved in 2015, and the handover of two and a half years has brought the two major financial and economic changes in the two core global regions a great attraction for the financial community. The two cores are the EU and East Asia respectively. The two financial changes are the default by Greece and the unexpected collapse of the Chinese stock market. Greece default occurred on the last day of the first half of 2015. Greece’s failure to repay as many as 1.6 billion euros of debt due by the IMF on schedule will mean not only that Greece became the first country to pay its debt to the IMF during its 70-year history