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进入2017年,我国经济整体稳定运行,实体经济回暖。这得益于我国持续推行供给侧结构性改革、积极财政政策以及稳健货币政策的正确实施。随着世界各经济体间的联系进一步加强,全球经济下行压力给我国经济发展带来更多的不稳定因素。那么,2017年,我国应如何实施既定经济金融政策、实现稳健发展?近日,本刊记者就有关问题采访了浙商银行首席经济学家殷剑峰。他表示,今年防风险应当放在经济政策施行的重要地位。
Into 2017, China’s economy as a whole stable operation of the real economy pick up. This is due to the continuous implementation of China’s structural reform of supply side, active fiscal policy and sound implementation of monetary policy. With the further strengthening of the linkages among the economies in the world, the downward pressure from the global economy has brought more instability to China’s economic development. So, in 2017, how should China implement the established economic and financial policies and achieve steady development? Recently, the reporter interviewed Yin Jianfeng, chief economist of Zheshang Bank, on relevant issues. He said that this year’s anti-risk should be placed on the important position of economic policy.