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作 者:孔凡伟[1] Kong Fanwei(School of International Relations,Tianjin Foreign Studies University,Tianjin 300204,China)
机构地区:[1]天津外国语大学国际关系学院,天津300204
出 处:《伊犁师范学院学报(社会科学版)》2020年第3期14-18,共5页Journal of Yili Normal University
基 金:天津市哲学社会科学规划项目“中国对欧盟投资面临的政治风险及其对天津企业‘走出去’的启示”(TJZZ17-004)的阶段性研究成果。
摘 要:达成中欧投资协定是落实“一带一路”倡议,夯实中欧经贸关系规范基础的重要途径。相较侧重于投资保护的传统双边投资协定,中欧投资协定的内容更加丰富多元,覆盖了投资自由化、投资保护、公共利益护持及争端解决机制等多个领域。这一协定有利于我国开拓欧盟市场,获取战略腾挪空间并为国际投资规范体系打上“中国印记”;但这也会给我国带来市场冲击、新的规范性约束及治理权威受损等潜在风险。The negotiation of the China-EU Comprehensive Agreement on Investment is an important way to implement the Belt and Road Initiative and consolidate the normative basis of China-EU economic relations.Compared with the traditional bilateral investment treaty,which focuses on investment protection,the China-EU investment Agreement covers investment liberalization,investment protection,public interest protection and dispute settlement mechanism.This agreement will help us expand the EU market,gain more strategic space and put a"Chinese Mark"on the international investment norm system.But it also brings us some potential challenges,such as market shocks,new normative constraints and governance risks.
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