摘要
金融危机的爆发对经济发展的危害是巨大的,受这次金融风暴直接冲击的国家,其经济实力普遍倒退7至10年。其中韩国因货币贬值五成,其经济规模已由世界排名第12位降至第17位,人均国民生产总值由1996年的10548美元降至目前的6664美元,经济实力倒退了...
Abstract Although South Korea's financial policy accorded with its
“excess-oriented economic growth strategy”,the policy was responsible for accumulation of
financial risk factors and eventually leading to breaking out of financial crisis,to a great
extent.However,it is not necessarily the factors of financial risk that lead to financial
crisis.Enlightenment from South Korea's financial crisis are as follows:sustainable and stable
economic growth is the best choice to absorb in the factors of financial risk;prevention from
financial risk should combine with the transition of economic growth model;clearance of
financial property is the fundamental way out for decreasing the production of new financial risk
factors;and it should adhere to the reform of financial indirect-regulation to realize financial
liberalization.
出处
《统计研究》
CSSCI
北大核心
1999年第2期7-12,共6页
Statistical Research