摘要
“人民币升值”问题成为2004年到2005年全球最受关注的问题之一。本文首先在此背景下通过宏观经济原理分析了人民币升值的压力产生的原因,宏观对冲基金冲击中国资本市场的可能性以及最新动向,并据此对降低人民币升值压力和维护金融安全提出了相应的对策建议。
the RMB exchange rate appreciation issue has been one of the most important issues since 2004. This paper discusses the reasons of the pressure on RMB exchange rate appreciation through the macroeconomic theory, the possibility of macro-hedging funds pounding the capital market in china and the latest trends of macro-hedging funds. Accordingly, countermeasure is put forward with regarding to the reduction of the pressure on RMB exchange rate appreciation and safeguarding the financial safety in China.
出处
《南京理工大学学报(社会科学版)》
2005年第6期32-35,共4页
Journal of Nanjing University of Science and Technology:Social Sciences
关键词
人民币汇率
升值
宏观对冲基金
RMB exchange rate
appreciation
macro-hedging funds