摘要
次贷危机背景下,国际金融市场动荡、危机发生国经济衰退,跨境资本流动的方向、速度、规模的不确定性增加,我国股票市场面临多重冲击。本文对次贷危机期间我股票市场对外部冲击的反应程度进行了实证分析,发现危机期间外部冲击对股票市场稳定带来威胁,并提出了相应的政策建议。
Since subprime lending crisis has been wor sening ,our stock market is in face of outside impacts. This paper introduces the outside impacts of stock market confronting and verifies the extent of it using Chue-Cook model ,then put forward some policies for suggestion.
出处
《特区经济》
北大核心
2009年第10期126-127,共2页
Special Zone Economy
关键词
次贷危机
汇率冲击
股票市场
subprime lending crisis
exchange rate overshooting
stock market