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国际金融危机对中国金融市场、出口市场、房地产市场和劳动力市场产生负面影响。政府适时适当干预市场是中国应对国际金融危机的一种策略选择,具体策略是实施积极的财政政策、适度宽松的货币政策和积极的就业政策。在政府干预时选择发挥市场作用是中国应对国际金融危机的另一策略,具体策略是推进生产要素、自然垄断行业、利率和汇率的市场化改革。总括而言,在市场与政府的组合间选择是中国应对国际金融危机的策略。
The international financial crisis has a negative impact on China’s financial markets, export markets, real estate market and labor market. Proper government intervention in the market at the right time is a tactic of China’s response to the global financial crisis. The specific strategy is to implement a proactive fiscal policy, a moderately easy monetary policy and a proactive employment policy. Choosing to play a market role in government intervention is another tactic China adopts to cope with the international financial crisis. The specific strategy is to promote market-oriented reforms in the production factors, natural monopoly industries, interest rates and exchange rates. To conclude, the choice between the market and the government is China’s strategy to deal with the global financial crisis.