摘要
2010年2月初以来,希腊等国的债务危机开始进入人们的视野,并引发欧盟金融市场震荡。希腊等国的债务危机具有重要的历史原因和传染效应,它不仅源于财政赤字过高,而且缺乏独立的货币政策,但最根本的原因是希腊的经济失去了"生产性"。我国应未雨绸缪,提早做好准备,主动积极应对希腊等国的主权债务危机。
Since early February 2010,the debt crisis which occurred in Greece began to go into the field of vision,and initiated the shock of the EU financial markets.The debt crisis has important historical reasons and contagion effect,which not only become of the high fiscal deficit,and lack of independent monetary policy,but also the most fundamental reason is the loss of productivity.Our country should positively respond to the sovereignty debt crisis.
出处
《商业研究》
CSSCI
北大核心
2010年第12期151-154,共4页
Commercial Research
关键词
希腊债务危机
欧洲主权债务
外汇储备
debt crisis in Greece
sovereign debt in Europe
foreign exchange reserves