论文部分内容阅读
愈演愈烈的希腊主权债务危机蔓延至欧盟许多国家,2009年,继国际评级机构下调希腊信贷评级之后,2010年,西班牙、葡萄牙、爱尔兰等的信贷评级再遭下调,将欧元区主权债务问题推向了“高潮”。同时,欧洲经济各项指标处于下滑趋势,政权动荡,从而对欧盟一体化进程以重创,世界经济面临“二次探底”的危险。本文通过分析希腊主权债务危机爆发的原因以及对欧盟经济一体化的影响,从中得出对我国的启示。中国应以希腊为鉴,居安思危,把握经济脉搏,营造健康、稳定的经济环境,促进经济可持续发展。
The escalating Greek sovereign debt crisis spread to many EU countries. In 2009, following the downgrade of Greece credit rating by international rating agencies, in 2010, the credit ratings of Spain, Portugal and Ireland were further revised down to push the issue of sovereign debt in the euro area to “climax”. In the meantime, the indicators of the European economy are in a downward trend and the regime is in turmoil, thereby putting a heavy blow on the process of EU integration and putting the world economy at risk of “second dip”. By analyzing the reasons for the outbreak of Greece’s sovereign debt crisis and the impact on the EU’s economic integration, this essay draws lessons for our country. China should learn from Greece, be vigilant in peace time, grasp the pulse of the economy, create a healthy and stable economic environment and promote sustainable economic development.