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机构地区:[1]安徽财经大学金融学院,安徽蚌埠233041 [2]西南石油大学经济管理学院,四川成都610500
出 处:《西安财经学院学报》2010年第1期74-80,共7页Journal of Xi’an University of Finance & Economics
摘 要:在经济全球化的今天,任何一个经济体都无法独善其身,美国次贷危机对我国的影响不容小视,特别是开放程度较高、与对外经贸交流频繁的粤苏浙沿海三省更具代表性。文章分析了危机传导的机理,即危机从起初的信贷市场扩散到金融市场,再从金融市场影响至实体经济,进而通过国际贸易传导到这些地区的对外贸易行业。通过对外贸易与沿海经济增长关系的实证研究,并着重从外部需求减少及美元贬值两方面分析,提出调整出口结构和出口市场、扩大内需市场、应对美元贬值策略等若干建议。As a result of economic globalization, any independent economies are bound to be affected. The impact of the sub - prime crisis of China has begun to appear. In particular, the higher degree of openness with the international economic and trade exchanges among Guangdong, Jiangsu, Zhejiang and greater impact. The authors analyze the mechanism of conduction crisis: from the beginning of the credit markets spread to financial markets, the impact from the financial markets to the real economy, and through international trade, crisis is al- so transmitted to the foreign trade sector in these areas. This paper analyze two aspects,namely the reduction in external demand and the appreciation of the Chinese Yuan, then gives some suggestions to promote economic growth accordingly.
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