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出 处:《开放导报》2010年第4期26-31,共6页China Opening Journal
基 金:国家社科基金重大招标课题"贯彻落实科学发展观与完善宏观调控体系"(批准文号07&ZD004;首席专家张晓晶)成果
摘 要:欧洲主权债务危机本质上是欧洲经济一体化的框架缺陷在金融危机冲击下的一次总爆发。本文就欧债危机的演进路径进行了简要的分析与判断,着重讨论了危机向银行、非金融私人部门以及美国经济的传导。欧债危机对中国经济带来的直接不利影响是有限和可控的,但也无疑给中国经济的前景增添了很大的不确定性。This study addresses the ongoing European sovereign debt crisis,which casts a gloom over the fragile recovery of the world economy. We first argue that the flaws in the current framework of the European economic integration,along with the global financial tsunami,are the principal responsible for the debt crisis. The next section of the paper turns to the evolutionary path of the crisis,especially its transmission toward the banking sector,non-financial private sector,and the US economy as a whole. Eventually,we discuss the potential effects of European debt crisis on Chinese economy,and consider that despites the limited direct effects,the crisis brings a great deal of uncertainty about China's economic perspectives.
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