摘要
近年来,我国政府债务迅速积累,通过举债,虽然有力地促进了经济增长,但同时也蕴含着一定的风险。本文对欧洲债务危机的成因及处理方式进行了总结与分析,并结合其经验教训提出相关政策建议,以期为我国做好债务风险防控工作提供参考。
In recent years, China ’s government debt has rapidly accumulated. Although borrowing has effectively promoted economic growth, it also contains certain risks. This article summarizes and analyzes the causes and treatment methods of the European debt crisis, and puts forward relevant policy recommendations in light of its experience and lessons, with a view to providing reference for China’s debt risk prevention and control work.
出处
《吉林金融研究》
2020年第9期52-53,75,共3页
Journal of Jilin Financial Research
关键词
欧洲债务危机
地方债务
风险防控
european debt crisis
local government debtdebt
risk prevention and control