摘要
为扩大内需、拉动经济 ,几年来实行的扩张性财政政策 ,国债发行规模日趋庞大 ,如何提高偿债能力 ,防范、控制和化解风险 ,便成为国债管理政策无法回避也不应回避的问题。本文就此问题提出了控制和化解国债风险的基本思路 ,加强国债管理的对策 ,完善市场体系 ,健全传导机制 ,并设计出一套宏观监测预警指标体系。
The expansive public finance policy in recent years to expand domestic demand and spur on economy leads to larger and larger national debt issuing scale.How to improve liquidate ability,to safguard,control and prevent risk became and inescapable question in formulation policy for national debt management.This article puts forward ideas about controlling and preventing national debt risks,strengthening national debt management policy,perfecting market system and designing a set of macro-supervision precausion index systerm.
出处
《财经科学》
CSSCI
北大核心
2000年第3期25-28,共4页
Finance & Economics
关键词
偿债能力
国债风险
国债管理
政策设计
(liquidate ability) (national debt risk) (national debt management)