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2007年夏,次贷危机爆发,国际金融领域警钟频频:美元汇率节节下挫,以美国为首的全球股市巨幅动荡。一波未平一波又起。华尔街众多百年机构陷入前所未有的危机,所有这些都表明全球经济金融体系原来隐藏着的风险正在急剧爆发……那么,作为始作俑者的次贷危机,未来将如何演化?全球经济金融环境是否会面临转折?对中国又将产生什么影响?本刊特组织国内外专家学者撰文研讨“国际金融预警”专题,呈现于读者。
In the summer of 2007, when the subprime mortgage crisis broke out and the international financial circles alarmed frequently, the exchange rate of the U.S. dollar plummeted and the global stock market headed by the United States was in turmoil. A wave of ups and downs. All of these show that the hidden risks in the global economic and financial system are rapidly erupting ... So how will the subprime mortgage crisis, as the initiator, evolve? Will the global economic and financial environment face a turning point? What impact will China have on China? The magazine organizes specialists and scholars from home and abroad to discuss the topic of “International Financial Warning”, which is presented to the readers.