摘要
从2009年11月由希腊债务危机引发的"欧猪五国piigs"主权债务危机爆发至今的两年时间里,欧洲主权债务危机成为影响全球经济复苏、金融市场走向的重要因素之一。通过长期跟踪"欧猪五国piigs"主权债务危机爆发的进程,对影响"欧猪五国piigs"主权债务危机进程的关键影响因素———主权信用评级、国债收益率、GDP增速及救援方案等进行整理、分析、研究,判断出"欧猪五国piigs"主权债务危机很可能进一步向意大利、西班牙等国蔓延和恶化。
Sovereign debt crisis of "European piigs" started in Greece in November 2009,and in the past two years,it had been an important factor to affect the global economic recovery and financial market trends.The authors,through long-term tracking,and sorting out,analyzing and researching the key factors of the crisis,make a conclusion that the crisis is likely to expand further to Italy,Spain and other countries.
出处
《中北大学学报(社会科学版)》
2011年第6期21-28,共8页
Journal of North University of China:Social Science Edition