摘要
20世纪90年代以来,随着经济全球化和金融一体化的发展,我国经济与外部经济的联系日益紧密,股票市场逐步开放,国内股票市场对国际市场的敏感性引起学者和业界的关注。本文综合考虑股票市场开放进程、股权分置改革和次贷危机引发的金融动荡,对我国股票市场对国际市场的敏感性进行分析,并提出相应的政策建议,以期对未来股票市场国际化有所裨益。
With the development of financial integration,since the middle of 1990s the comovementof stock prices has been striking.China's foreign trade dependency has been going up gradually inmost recent years,and China's financial industry becomes more open than before.This paper analyze the sensitivityof our stock market to foreign stock markets allowing for openness of stock market,.Then the paper puts forward some policies for suggestion.
出处
《特区经济》
北大核心
2010年第10期99-100,共2页
Special Zone Economy
关键词
股票市场
敏感性
开放
次贷危机
stock market
sensitivity
openness
Subprime Crisis