摘要
文章分析了欧洲政治、经济领域多项叠加的风险,包括潜在的债务风险和银行业危机、美欧贸易摩擦、英国退欧不确定性和投资者避险情绪上升可能触发新一轮金融市场动荡等。文章指出未来需要重点关注的风险点,认为我国应坚持底线思维,密切跟踪研判,做好应对准备。
The paper analyzes multiple risks in European political and economic fields, including potential debt risk and banking crisis, US-Europe trade friction, Brexit uncertainty and the rising risk aversion among investors, which may trigger a new round of market turmoil. The paper highlights the next risks requiring close attentions and suggests that China should keep close track, and prepare for worst-case scenarios.
出处
《中国货币市场》
2018年第8期69-74,共6页
China Money