论文部分内容阅读
利用1991-2010年的数据,对我国的主要经济指标进行分析,做出“中国经济存在滞胀风险”的推论。在此基础上,进一步对我国经济的“滞胀风险”特征做了全面研究。中国经济与社会的发展在“十二五”和“十三五”时期,面临劳动成本上升、人口老龄化、城市化进程加快,经济增长下滑、资源环境恶化等严峻挑战。除了央行已经实施的紧缩货币政策和住房“国十条”等措施外,提出财政政策、收入政策和人力资源政策等政策选择。
Using the data of 1991-2010, we analyze the major economic indicators of our country and make the inference that “the risk of stagflation in China’s economy exists”. On this basis, we further conduct a comprehensive study on the characteristics of the “stagflation risk” in our economy. In the “12th Five-Year Plan” and “13th Five-Year Plan”, China’s economic and social development faces the severe challenge of rising labor costs, aging population, accelerating urbanization, declining economic growth and deteriorating resources and environment. In addition to the tightening of monetary and housing policies already implemented by the central bank, such measures as fiscal policy, revenue policies and human resources policies have been proposed.