摘要
在后金融危机时期,世界经济的复苏仍存在极大的不确定性。我国在"十二五"期间要实现转方式、调结构、惠民生的重大战略目标,必须对所面临的高通货膨胀、房地产泡沫、流动性过剩等风险高度重视,做好面对复杂局势的各种风险防范。
In the post-financial crisis,the recovery of world economy still had great uncertainty.In the twelfth Five-Year Plan period,in order to realize the major strategic objectives of transferring the mode,adjusting the structure and improving livelihood of the people in China,we must attach great importance to the risks facing high inflation,the real estate bubble,excess liquidity to make a variety of risk prevention of the complex situation.
出处
《桂海论丛》
2011年第3期16-19,共4页
Guihai Tribune
关键词
中国经济转型
通货膨胀
房地产泡沫
流动性过剩
economic transformation in China
inflation
real estate bubble
excess liquidity