摘要
全球各国为了尽快摆脱次贷危机导致的金融危机的困扰,纷纷采取"赤字财政"的扩张政策。当前尽管次贷危机的影响逐渐远去,但由此带来的副作用即"主权债务危机"却开始显现。近期,希腊、葡萄牙和西班牙等欧洲国家的主权债务问题一度引发全球资本市场的动荡并牵动投资者敏感的神经。文章通过分析欧洲主权债务危机的由来、对全球金融经济的影响以及对我国的启示来详细论述这次欧洲主权债务危机。
Countries around the world to free themselves from the subprime mortgage crisis led to the financial crisis,troubled,have adopted a "deficit financing" policy of expansion.Although the current subprime mortgage crisis is gradually disappearing,the resulting side-effects of "sovereign debt crisis" is starting to show.Recently,Greece,Portugal,Spain and other European countries,sovereign debt problems once caused the turmoil in global capital markets and affect investors sensitive nerve.This paper analyzes the origin of the European sovereign debt crises,the impact of the global financial economy and the Enlightenment to elaborate on the European sovereign debt crisis.
出处
《改革与战略》
北大核心
2010年第10期191-193,共3页
Reformation & Strategy
基金
华南理工大学中央高校基本科研业务费用专项资金资助(项目批准号:2009SM0049)