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次贷危机后防止中国资本市场大起大落之见解 被引量:1

The Views of Preventing Big Ups and Downs in China's Capital Market after Subordinated Bonds Crisis
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摘要 美国次贷危机集中爆发后,全球资本市场遭遇了1929年以来最大的系统性金融危机,全球政治经济格局将随着危机的结束而重新塑造。中国既不存在次贷危机产生的土壤,外部的经济动荡也很难对中国的经济运行产生根本性冲击,中国经济与资本市场具备稳健运行的坚实基础。中国应积极调整政策,化危机为机遇,确保国民经济平稳运行,并通过制度建设防止资本市场大起大落,并以此为基础,在新一轮的全球政治经济秩序调整中占据有利地位。 The global financial market has experienced largest systematic financial crisis since 1929, after the bursting out of subprime crisis in USA. Accordingly, the global political and economic situation is re-shaping. This article holds that there is no soil for the existence of subprime crisis, and the capital market has robust foundations, so even the turmoil and turbulence could not disturb the operation of Chinese economy. China should adjust its policy coping with the crisis, and make it opportunities to ensure the smooth running of the national economy through building a system, which aims to prevent big ups and downs in capital markets, and on this basis, and occupy a favorable position in a new round of global political and economic adjustments.
出处 《现代财经(天津财经大学学报)》 CSSCI 北大核心 2009年第1期19-22,34,共5页 Modern Finance and Economics:Journal of Tianjin University of Finance and Economics
关键词 次贷危机 中国经济运行 A股市场 展望 Subordinated Bonds Crisis Chinese Economy Situation A-share Stock Market Prospect
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