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二战后,日本经历了短短的几十年时间,经济和金融取得了突飞猛进的高速发展,成为全球第二大经济强国、资本输出大国、居民储蓄大国的金融资产大国(1988年国际清算银行称日本银行资产已占全球银行资产总额的35%,是美国银行资产的2倍),令世人为之赞叹和瞩目。 而今,日本经济状况已处于战后最严峻的时期,金融危机、经济衰退与贬值压力并存,股市与汇市受到国内外双重冲击。分析研究日本经济、金融发展出现如此大的起伏,有哪些经验教训,并引以为戒,对我国经济、金融稳健发展具有重要的现实意义
After World War II, Japan experienced a few decades, rapid economic and financial development has made rapid progress, becoming the world’s second largest economic power, the capital output of large savings powerhouse of financial assets of the country (1988 Bank of Japan Bank of Japan assets have accounted for 35% of global bank assets, twice the Bank of America assets), so that the world is amazed and attention. Today, the economic situation in Japan is already at the most severe post-war period. Both the financial crisis, the economic recession and the devaluation pressure coexist, and both the domestic and foreign stock markets and foreign exchange markets have suffered a double blow. It is of great practical significance to analyze and study such great ups and downs, what lessons and lessons learned from Japan’s economic and financial development, and to take warnings of the economic and financial steady development of our country