摘要
外债的合理利用能有效地弥补国内资金不足的缺口,促进中国经济发展,但在外债的利用过程中,必须防范随时可能出现的外债风险,避免陷于债务危机。传统的外债风险指标体系不够科学、全面。作为对众多文献的补充,通过从外债风险指标和影响外债风险其他因素这两个方面的外债风险因素分析,可以完善外债风险评估指标体系。
The foreign debt used effeetively can mend the gap of internal funds and promote economical development in China. But in the process of using foreign debt, the country should be alert to foreign debt risk and avoid the debt crisis. The traditional foreign debt risk index system is not scientific and comprehensive. This paper analyses the foreign debt risk from two respeets respectively, such as foreign debt risk index, the other factors affecting the foreign debt risk, to improve the foreign debt risk evaluation index system.
出处
《哈尔滨工业大学学报(社会科学版)》
2006年第6期109-112,共4页
Journal of Harbin Institute of Technology(Social Sciences Edition)
基金
高校博士点基金(20050213037)
黑龙江省社会科学基金(05B0060)
关键词
外债风险
外债结构
外债清偿能力
指标体系
foreign debt risk
foreign debt structure
foreign debt discharge ability: index system