摘要
东南亚金融危机中,东南亚各国在盯住美元的汇率制度下付出了沉重的代价。危机过后,我国实行有管理的浮动汇率制度,然而金融风暴再次袭来又对我国经济产生了较大影响。综合各种因素,本文阐述了后金融危机时期保持人民币汇率稳定是现实选择。而近期人民币汇率的稳定也充当了区域汇率政策协调的稳定器。只有进一步推进东南亚货币合作进程,才能最为有效地防止危机再次发生,保证东南亚地区经济的稳定。
In the Southeast Asian financial crisis, Southeast Asian countries has paid a heavy price in the U.S. dollar exchange rate system. After the crisis, China adopted a managed floating exchange rate system, but the hit of financial crisis on China's economy once again had a significant impact. All things considered, this paper describes that during the post-financial crisis period, maintaining the stability of RMB exchange rate is a realistic choice. And the recent stability of the RMB exchange rate also serves as the coordination of regional exchange rate. Can we most effectively prevent the recurrence of crisis and ensure the economic stability in Southeast Asia only when we further promote the process of monetary cooperation in Southeast Asia.
出处
《东南亚纵横》
CSSCI
2010年第2期95-98,共4页
Crossroads:Southeast Asian Studies
关键词
金融危机
人民币汇率
区域货币合作
Financial Crisis RMB exchange rate Regional monetary cooperation