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始于2007年,由美国次贷危机引发的全球金融经济危机引起全世界的关注,为此,西方学者展开了对金融经济危机原因的新一轮研究,以期寻求解决危机的办法。2008年爆发全球性金融危机,对于金融危机爆发的具体表现及根本原因,可以运用马克思经济危机理论加以分析,这也进一步说明马克思经济危机理论的科学价值。同时,深入研究这一理论对于认识和应对金融危机、推进社会经济发展具有十分重要的理论及现实意义。
Beginning in 2007, the global financial and economic crisis triggered by the subprime mortgage crisis in the United States attracted worldwide attention. For this reason, Western scholars launched a new round of studies on the causes of the financial and economic crisis so as to seek a solution to the crisis. The outbreak of the global financial crisis in 2008, the concrete manifestation of the financial crisis and its root causes can be analyzed by using Marx’s economic crisis theory, which further explains the scientific value of Marx’s economic crisis theory. At the same time, in-depth study of this theory has very important theoretical and practical significance for understanding and coping with the financial crisis and promoting social and economic development.