摘要
2010年2月初以来,随着美国次贷危机对各国经济的影响逐步消退、世界经济复苏越来越明显,欧洲主权债务危机开始进入人们的视野,国际金融市场出现震荡。欧洲主权债务危机对我国的影响主要是间接性的汇率风险,即我国巨额外汇储备中欧元部分的趋势性贬值风险。但是,我国应未雨绸缪,提早做好准备,主动积极应对欧洲主权债务危机。
Since early in February 2010,with the gradual recede of effect of spreading subprime mortgage crisis for the economies,the world economy recover obviously,the European sovereign debt crisis began to be paid attention to,the international financial market appeared shock. The European sovereign debt crisis's influence on China is indirect exchange rate risk,that is,the Euro's devalued risk in our foreign exchange reserves. However,we should respond positively the European sovereign debt crisis.
出处
《商业研究》
CSSCI
北大核心
2010年第11期213-216,共4页
Commercial Research
关键词
主权债务危机
国际金融危机
外汇储备
sovereign debt crisis
international financial crisis
foreign exchange reserves