摘要
基于国际金融环境视角,从金融危机、汇率变动、通货膨胀、贷款利息和存款储备金率等方面分析了中国丝绸业的现状,提出了调整货币政策、稳定人民币汇率、设立茧丝绸专项风险基金和发挥税费杠杆机制,以及采取开拓内销市场、科技创新、品牌建设等对策建议,使丝绸业早日摆脱困境,重现昔日的辉煌。
Based on the perspectives of financial environment, this paper analyzed the effects of financial varies, such as financial crisis, exchange rate, inflation and interest on China silk industry. The policy recommendation and re-development strategies such as adjust the monetary policy, stable the RMB excharge rate, set up silk exclusive funds, strengthen the mechanism lever of taxes and fees and so on. On the silk industry were proposed, hope to provide references for open up the domestic market, technolgical innovation, brand building of Chinese silk industry.
出处
《丝绸》
CAS
北大核心
2012年第1期65-68,共4页
Journal of Silk
关键词
国际金融环境
金融危机
茧丝绸产业
对策
International financial environment
Financial crisis
Cocoon and silk industry
Strategies