期刊文献+

地方政府性债务风险控制管理研究 被引量:1

Research on Risk Control and Management of Local Government Debt
下载PDF
导出
摘要 随着经济新常态发展,尤其是受新冠病毒肺炎疫情影响,导致经济下行压力不断增大,因此,发行地方政府性债券成为财政政策提升有效需求的重要手段。然而由于地方政府性债务率的不断提高,政府债务风险日益凸显,因此,如何有效防范政府债务风险成为确保政府性债务不发生系统性风险的基础。论文立足于地方性债务现状,阐述地方政府性债务所存在的风险,最后提出加强政府性债务风险控制管理的具体对策。 With the development of the new normal economy,especially affected by the COVID-19 epidemic,the downward pressure on the economy is increasing.Therefore,issuing local government bonds has become an important means for fiscal policy to enhance effective demand.However,due to the continuous improvement of the local government debt rate,the government debt risk has become increasingly prominent,so how to effectively prevent the government debt risk has become the basis to ensure that the government debt does not have systemic risks.Based on the present situation of local debt,this paper expounds the risks existing in local government debt,and finally puts forward specific countermeasures to strengthen the control and management of government debt risks.
作者 李瑞 LI Rui(E-Commerce and Information Center,Department of Commerce of Ningxia Hui Autonomous Region,Yinchuan 750001,China)
出处 《中小企业管理与科技》 2020年第22期26-27,共2页 Management & Technology of SME
关键词 政府性债务 风险控制 财务管理 government debt risk control financial management
  • 相关文献

参考文献2

共引文献4

引证文献1

相关作者

内容加载中请稍等...

相关机构

内容加载中请稍等...

相关主题

内容加载中请稍等...

浏览历史

内容加载中请稍等...
;
使用帮助 返回顶部