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作 者:新疆金融学会中亚金融研究中心课题组 刘遵乐 王倍倍 Research Group of Central Asia Finance Research Centerof Xinjiang Finance Association
机构地区:[1]不详
出 处:《金融发展评论》2021年第9期18-28,共11页Financial Development Review
摘 要:2020年,受疫情冲击、大宗商品价格变动以及供应链中断等因素影响,区域内国家经济增长整体呈下降态势,通胀高企,财政压力上升。由于各国经济与国际市场关联度不断加大,外汇市场波动较大,货币币值不稳定,外债压力继续存在,各国经济发展仍然存在较多不确定性。后疫情时代的到来使得中亚地区经济波动趋稳,受国际原油价格波动影响,中亚五国经济缓慢恢复,但结构性问题仍需要进一步关注。In 2020,due to the impact of the epidemic,commodity price changes and supply chain disruptions,the overall economic growth of countries in the region is declining,inflation is high,and fiscal pressure is rising.Due to the increasing correlation between national economies and international markets,volatile foreign exchange markets,unstable currency values and continued pressure on external debt,there are still more uncertainties in the economic development of each country.The arrival of the post-epidemic era has led to a stabilization of economic fluctuations in Central Asia.The economies of the five Central Asian countries are slowly recovering due to fluctuations in international crude oil prices,but structural problems still require further attention.
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