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2011年,国际金融形势动荡,欧债危机持续蔓延,美国AAA顶级信评遭遇调降,全球股市遭遇恐慌性抛盘,股灾降临在全球主要经济体,进一步加大了世界经济二次探底的可能性。与此同时,国内房价高起,通胀形势严峻。中国政府为应对经济过热、防止通胀蔓延,央行多次加息并上调存款准备金率。银根紧缩
In 2011, the turmoil in the international financial situation, the continued spread of the European debt crisis, the United States suffered a cutback in the top AAA credit rating, global stock markets suffered panic selling, stock market crash in the world's major economies, further increasing the possibility of the world economy double bottom Sex. At the same time, domestic prices are high and inflation is grim. In response to overheating of the economy and the prevention of inflation, the Chinese government raised interest rates several times and raised the deposit reserve ratio. Monetary tightening