中国经济改革的发展战略与路径选择研究——基于新常态背景下的分析  被引量:20

The Research of the Developmental Strategy and Path Selection of China's Economic Reform——Based on the New Normal Background

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作  者:武鹏[1] 

机构地区:[1]北京师范大学经济与工商管理学院,北京100875

出  处:《技术经济与管理研究》2016年第1期103-108,共6页Journal of Technical Economics & Management

基  金:国家社科基金重点项目(14AZD035)

摘  要:文章基于新常态下中国经济改革发展的阶段性特征,从产能过剩、杠杆率飙升、房地产市场风险和资本证券市场波动等方面对新阶段和新形势下中国经济发展所面临的挑战进行分析;通过对新常态下中国经济改革的发展战略进行分析,提出中国经济改革发展的路径选择及对策建议。研究认为,中国经济改革的发展在战略决策上,要主动适应经济新常态,坚持稳中求进的工作基调,明确改革攻坚战的主要任务,提高经济发展的质量和效益,突出创新驱动的动力依托;在路径选择上,要坚持定向精准稳投资、多点支撑扩消费,要进一步推动区域经济协调发展,加快推进资本市场协调发展,完善系统性金融风险的控制机制。Based on phased characteristics of China's economic reform and development under the new normal situation, the challenges, which the economic development has been got into under the new situations and stages in China, are analyzed from the overcapacity, surging leverage, real estate market risk and the capital stock market volatility, and the path choices of China's economic reform and development and suggestions are provided, through the analysis of the development strategy of China's economic reform.With the developmental strategy of China's economic reforms, it is necessary to take the initiative to adapt to the new normal economy,to adhere to the work of seek improvement in stability tone, to clear the main task of the reform to be completed, to improve the quality and efficiency of economic development, and to highlight the support of innovational power. On the path selection, it is necessary to stick to the directional precision investment with multi-point support expanding consumption, to further promote the coordinated development of regional economy, to accelerate the coordinated development of capital market, and to improve the control mechanism of the systemic financial risk.

关 键 词:新常态 经济改革 宏观调控 区域发展 产业结构 

分 类 号:F124.7[经济管理—世界经济]

 

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