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从“金融加速器”理论看经济危机及当前风险防范

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摘要 “金融加速器”理论认为,次贷危机是在信息不对称条件下经济中的内外部冲击经由信贷市场放大形成的。当前中国存在投机泡沫严重、企业资产负债表衰退、信贷市场风险攀升等负面冲击的隐患。为防范未然,避免小冲击演变为大危机,建议采取稳定房地产市场、大力扶持企业发展及加强信贷市场风险管控等相应措施。
作者 张帆
出处 《经济研究导刊》 2019年第26期131-133,共3页 Economic Research Guide
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