摘要
进入21世纪的世界经济发展中出现的一个突出现象就是全球经济失衡加剧。全球经济失衡加剧强化了全球性的流动性过剩,从而促进了金融泡沫经济的生成和发展。金融泡沫经济指金融经济偏离实体经济,具有独立性和广泛性而形成的一种泡沫经济。本文运用实证研究方法和规范研究方法,在研究上述三者关系和全球性金融泡沫经济生成和发展的基本条件和基本表现的基础上,分析了这种经济的基本特征和重要影响。
Sharpening imbalance of global economy is the most prominent phenomenon on world stage in the early years of 21st century. The imbalance of global economy increases the global liquidity surplus, which promotes the invention and development of financial bubble economy. Financial bubble economy refers to a bubble economy caused by the independence and universality of financial economy deviating from real economy. This paper not only studies the relationship of the above mentioned three issues, the fundamental conditions and performances for the invention and development of global financial bubble economy, but also analyses the fundamental features and important impacts of financial bubble economy.
出处
《国际金融研究》
CSSCI
北大核心
2007年第4期63-68,共6页
Studies of International Finance
基金
教育部人文社会科学<全球经济失衡下的金融泡沫经济>项目成果。项目批准号:065A790074。
关键词
全球经济失衡
全球性流动性过剩
金融泡沫经济
Imbalance of Global Economy
Global Liquidity Surplus
Financial Bubble Economy.