摘要
本文通过金德尔伯格的金融危机理论,指出了货币供给和信贷扩张与金融危机的关系,并通过分析美元本位制下的双重风险,从更深层次指出了当今金融危机频发的真正原因,并通过次贷危机加以详细阐述。最后,本文提出了一些应对金融危机的短期和长期的策略。
Through using theory of Kindleberger Model, this paper points out the relationship between money supply, credit expansion and financial crisis. After that, this paper analyses the double risk under Dollar Standard System, which is the deep-seated reason of frequent financial crisis today. Then we demonstrates how sub-prime bubble brew up and then caused crisis under Dollar Standard System with Kindleberger Model. At Last, this paper suggests some short-term and long-term coping strategies.
出处
《浙江金融》
北大核心
2011年第11期22-25,30,共5页
Zhejiang Finance
关键词
金融危机
货币
双重风险
次贷危机
应对策略
Financial Crisis
Money
Double Risk
Sub-prime crisis
Coping strategies