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2015年6月份以后爆发的持续性股灾对我国的社会稳定和经济运行造成了很多不利的影响。本文从股灾发生时的情况开始回顾,继而分析了股灾发生的成因,然后又分析和提炼了政府和监管部门在应对股灾上采取的一些就是措施,最后对这些措施的正常化和改进提出了一些思考和建议。希望可以以史为鉴,为这方面的研究提供一定参考。
The persistent stock market disaster that broke out after June 2015 has caused many adverse effects on our country’s social stability and economic operation. This article begins with a review of the situation at the time of the stock market disaster and then analyzes the causes of the stock market disaster. Then it analyzes and extracts some measures taken by the government and regulators in response to the stock market disaster. Finally, some measures are put forward to normalize and improve these measures Think and suggest. I hope we can learn from history and provide some reference for the research in this field.