摘要
2010年,欧洲国家的主权债务问题始终是国际金融市场的关注焦点。2011年,全球经济有望保持复苏态势,将对欧洲经济趋稳产生积极作用。欧洲国家在逐步减少财政赤字、降低政府债务规模的同时,应该及时对其发展模式和制度设计中的深层次缺陷做出调整。
In 2010,The European Debt Crisis was one of the most important issues of international financial market,and global economy's persistent recovery may positively affect the situation in 2011.European countries should duly adjust implicit defects of their development strategy and policy design during reducing deficit and limiting government debt scope in future.
出处
《银行家》
2011年第1期40-42,共3页
The Chinese Banker