摘要
本文首先阐述了货币国际化的内涵和条件,并在理论分析基础上立足我国发展现状,从国家战略高度分析了人民币国际化的基础条件和现实意义;以IS-LM模型及货币需求函数为工具,深入剖析了人民币国际化进程中的潜在风险;最后,结合自身多年从事国际收支工作的体会和经验,从外汇管理具体政策和人民币回流渠道两方面入手,提出应对人民币国际化风险的具体措施。
This paper expounds the connotation and conditions of the internationalization of currency.On the basis of theoretical analysis,the paper interpreted the realistic significance of RMB internationalization,which is based on the current situation of the development.Furthermore,the potential risk in the process of RMB internationalization is dissected thoroughly by IS-LM model and demand function for money.Finally,combining the experience for years,specific measures are proposed from both foreign exchange policy and the backflow channels of RMB.
出处
《吉林金融研究》
2012年第4期6-12,共7页
Journal of Jilin Financial Research
关键词
货币国际化
风险
政策应对
Currency Internationalization
Risk
Policy Coordination