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亚洲金融市场在1月份表现出两个特点:一是在金融危机爆发一年半之后,亚洲金融形势已发生了积极变化,即使受到类似巴西金融风暴的冲击,金融市场也能处惊而不慌,今后再度发生剧烈动荡的可能性较小。二是金融危机给亚洲经济留下的创伤还没有愈合,经济复苏的势头还难以主导本地区金融市场的发展趋向。 分析家认为,亚洲国家经常项目出现盈余、外汇储备明显增多、对短期外债调控能力的增强,是地区金融市场当前保持相对稳定
Asian financial markets showed two characteristics in January: First, after a year and a half of the financial crisis, the financial situation in Asia has undergone a positive change. Even under the impact of the financial turmoil in Brazil, financial markets can not panic In the future there will be less likelihood of violent turmoil again. Second, the trauma left by the financial crisis to the Asian economy has not healed yet and the momentum of economic recovery can hardly dominate the development trend of the financial markets in the region. Analysts believe that current account surpluses and a sharp increase in foreign exchange reserves in Asian countries mean that their ability to regulate and control short-term foreign debts is relatively stable in the financial markets in the region at present