摘要
2009年爆发的欧洲主权债务危机,对整个世界的经济造成了深刻影响。面对此次危机,中国应积极反思自身存在问题以及寻求解决的方法。本文简要分析了五点欧债危机对中国的启示,包括我国应从依赖出口和政府投资转变为依靠内需拉动经济增长,加强对房地产市场监管,注意债权债务的合理性与安全性,深化人民币汇率改革及完善健全金融体制,把握宏观调控政策等。
European sovereign debt crisis which broke out in 2009 exerted huge impact on global economy. Facing this crisis, China should reflect on the problems we have and seek to tackle those drawbacks. In this essay, I will simply analyze five points regarding this issue, including that we should transform from depending on export and government investment to expanding domestic demand as the main way to promote economic development, reinforce the supervision of real estate market, enhance reasonability and security of our credit and debt,improve the RMB exchange rate and financial system, and strengthen macro-control policy.
出处
《吉林化工学院学报》
CAS
2013年第10期10-12,共3页
Journal of Jilin Institute of Chemical Technology
关键词
欧债危机
经济结构
房地产泡沫
货币政策
人民币汇率
债权债务
european sovereign debt crisis
economic structure
bubbles in real estate market
monetary policy
RMB exchange rate
credit and debt