摘要
黄金是具有商品、货币和金融三重属性的特殊商品。自1975年黄金非货币化以来,黄金的金融属性日渐突出。2007年美国次贷危机引发的全球金融危机,进一步激发了黄金的避险保值功能,突显了黄金的金融属性。通过梳理近三十年国外有关黄金金融属性的各项研究,为黄金的金融功能研究提供了理论分析框架。
Gold is a special commodity with commercial, monetary and financial property. Since the demon- etization of gold in 1975, the financial property of gold is getting more and more important. The global financial crisis touched off by American subprime crisis in 2007 has strengthened the safe - haven and hedge functions of gold, which indicated further the financial value of gold. The present paper analyzes systematically the foreign academic studies on gold financial function in the past 30 years and brings out a framework for gold financial function research in the future.
出处
《贵州大学学报(社会科学版)》
2013年第4期9-13,共5页
Journal of Guizhou University(Social Sciences)
基金
国家社会科学基金重点项目"美元
汇率和黄金的关系"[批准号:12AZD049]的阶段性研究成果