摘要
2010年以来,由于国际金融危机刺激政策、国际资源价格大幅度上涨和国内农业生产歉收等国内外因素的影响,印度发生严重通货膨胀。这不仅影响印度经济发展,也影响印度社会政治稳定。为此,印度采取了诸多政策措施,虽然取得一定成效,但却在一定程度上影响印度经济发展。印度正面临着通货膨胀严重和经济增长放缓双重压力。
Since 2010 , India has seen serious inflation , due to the economic stimulus policies during the global financial crisis , with the dramatic price rise of natural resources in global market and the poor performance of its domestic agricultural sectors.The problem not only thwarts India's economic development , but also affects its social and political stability.India has taken a number of policy measures , which are partially helpful in curbing inflation but still hard to recover its economic scenario.
出处
《南亚研究季刊》
CSSCI
2013年第1期95-101,6,共7页
South Asian Studies Quarterly
基金
教育部人文社科重点基地重大项目"印度经济发展前景研究"(项目批准号:0512JJDGJ0821)的中期成果