摘要
本文从理论上分析了国际上通行的衡量外债风险各种指标的有效性和局限性 ,并通过拉美债务危机和亚洲金融危机加以验证 ,总结出预警效果较好的四类关键指标。然后根据我国 1 995年— 1 998年外债风险指标数据 ,研究我国外债安全状况 ,剖析现存的风险和问题 。
<abstract>Defining foreign debt risks margin is very important to ensure the sefety of national finance.This article first theoretically analizes the validity and the limitation of the indicators used internationally in measuring foreign debt risks.Facts about the Latin American Debt Crisis and Asian Financial Crisis are given to illustrate this point.And further four types of key indicators which have better warning effect are given accordingly.Secondly,on the basis of the data of China foreign debt indicators(1995-1998),the existing problems as well as the corresponding solutions are pointed out
出处
《山东大学学报(哲学社会科学版)》
北大核心
2000年第6期112-116,共5页
Journal of Shandong University(Philosophy and Social Sciences)
关键词
外债风险指标体系
警戒线
中国外债
金融安全
Foreign debt risks indicators system
Safety margin
Chinese foreign debt
Financial safety