摘要
2013年以来,在欧美债务危机的负面影响下,全球经济复苏进程艰难曲折,当前我国外汇储备规模庞大,结构上过度集中投资于美元和美元资产以及欧元和欧元资产。导致我国的外汇储备资产将面临着规模过大和结构不合理的风险,这些风险对我国的经济和金融领域带来了很多的负面影响。基于此,本文根据我国外汇储备的现状和成因,分析了我国外汇储备管理所面临的风险,并提出了相应的外汇储备管理的建议及对策。
Since 2013,under the impact of US and European Debt Crisis,the process of global economic recovery was in arduous and tortuous.At present,the scale of foreign exchange reserves in China is extremely large.The foreign exchange reserves excessive concentrated on the investment in the US dollar and its assets,the euro and euro assets structurally.Cause our reserve for foreign exchange will be faced with the risk of large-scale and unreasonable structure.In addition,these risks will bring a lot of negative impact on economic and financial development of China.According to the present situation and the cause of China currency reserves,this article analyzes the risks of China's reserves,and puts forward some suggestions and countermeasures for the management of foreign exchange reserves.
出处
《齐齐哈尔师范高等专科学校学报》
2014年第3期102-103,130,共3页
Journal of Qiqihar Junior Teachers College
关键词
外汇储备
外汇储备管理
风险
foreign exchange reserves
the management of foreign exchange reserves
risk