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机构地区:[1]中国银行国际金融研究所
出 处:《中国货币市场》2011年第10期14-18,共5页China Money
摘 要:受近期希腊债务违约风险上升、欧债危机向核心国蔓延、欧洲银行业融资缺口扩大等负面因素冲击,欧洲金融市场遭遇大幅动荡。文章指出,在短期内,防止希腊债务违约是遏制欧债危机进一步蔓延、防范债务危机与银行危机并发的关键;长期而言,欧元及欧盟运作机制的改革将不可避免,完善退出机制将是欧元区长期稳定运作的基石。The adverse shocks from increasing Greek debt default risk, European debt crisis spreading to some core countries and expanding financing gap in the European banking industry have caused the European financial market to widely fluctuate. The article states that in the short run, preventing Greek debt default can curb the further spreading of Euro debt crisis, which is also the key to guard against the outburst of debt crisis and banking crisis. In the long run, the reforms of Euro and European Union's operating mechanism will be inevitable, and the enhancement of the exit strategy will be a cornerstone for the long-term stability of the Euro zone.
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