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当今时代是金融全球化时代,任何一个国家或地区的经济波动都有可能传导到世界的各个角落,2007年爆发并仍在延续中的美国次贷危机就是明证。后危机时代,我国采取何种策略才能保证实体经济健康稳步发展,是值得研究的课题。文章通过绘制技术路线图,试图清晰展现金融全球化引发实体经济危机的全过程,并通过分析技术路线,提出从逆向思维角度出发,使用回溯机制,研究阻断危机形成条件,并最终构建实体经济支持策略组合的研究构想。
In today’s era of financial globalization, economic fluctuations in any one country or region are likely to be transmitted to every corner of the world. The U.S. subprime mortgage crisis, which broke out in 2007 and is still ongoing, is proof of this. In the post-crisis era, what kind of strategy should China take to ensure the healthy and steady development of the real economy is a topic worthy of study. By drawing a technological roadmap, the article attempts to clearly demonstrate the whole process of the financial crisis that triggered the real economy crisis. By analyzing the technical route, this paper proposes that using the backtracking mechanism, the paper studies the conditions for interrupting the crisis and finally establishing the real economy support Strategy Portfolio Research Conception.