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歐債危機(jī)的成因、影響及中國(guó)的應(yīng)對(duì)措施

發(fā)布時(shí)間:2018-04-01 08:36

  本文選題:歐債危機(jī) 切入點(diǎn):希臘 出處:《吉林大學(xué)》2013年碩士論文


【摘要】:歐債危機(jī)爆發(fā)后,舉世關(guān)注,,它無(wú)時(shí)不刻地牽動(dòng)著整個(gè)世界的神經(jīng)。一系列的問(wèn)題接踵而至,經(jīng)濟(jì)增長(zhǎng)乏力,全球貿(mào)易保護(hù)主義抬頭,出口下降,金融動(dòng)蕩,失業(yè)率增加等等,它不僅重創(chuàng)了歐洲發(fā)達(dá)資本主義國(guó)家,也給整個(gè)世界經(jīng)濟(jì)的復(fù)蘇埋下了隱憂。因此我們很有必要對(duì)歐債危機(jī)的成因和影響做系統(tǒng)性的研究分析,從而為我國(guó)應(yīng)對(duì)歐債危機(jī)帶來(lái)的不利影響給出合理化的對(duì)策建議。 本文共分五個(gè)部分。第一部分是導(dǎo)論,主要介紹本文的選題背景和研究意義。第二部分是文獻(xiàn)綜述,主要介紹了學(xué)者們對(duì)歐債危機(jī)的一些研究成果。第三部分是歐債危機(jī)的成因分析,分為直接原因分析和根本原因分析兩部分,直接原因主要包括外部國(guó)際大環(huán)境的影響、歐元區(qū)體制弊端、歐元區(qū)國(guó)家社會(huì)福利分析、救助機(jī)制的不佳和歐元區(qū)國(guó)家經(jīng)濟(jì)實(shí)力各異,而根本原因則是從馬克思主義和資本主義基本矛盾的視角去深刻分析歐債危機(jī)的根源。第四部分是歐債危機(jī)的影響分析,主要包括對(duì)歐洲自身的影響、對(duì)國(guó)際貿(mào)易的影響和對(duì)全球金融市場(chǎng)的影響這三個(gè)方面。第五部分是中國(guó)的應(yīng)對(duì),主要介紹了當(dāng)前我國(guó)該如何應(yīng)對(duì)歐債危機(jī)以及自身發(fā)展過(guò)程中應(yīng)該注意的問(wèn)題和應(yīng)該防范的風(fēng)險(xiǎn)。 本文運(yùn)用理論聯(lián)系實(shí)際和馬克思主義的方法系統(tǒng)性地分析了歐債危機(jī)的成因和影響,并積極吸取歐債危機(jī)的教訓(xùn)和啟示,為我國(guó)經(jīng)濟(jì)社會(huì)良好發(fā)展建言獻(xiàn)策。
[Abstract]:After the outbreak of the European debt crisis, the whole world paid close attention to the fact that it constantly affected the nerves of the whole world. A series of problems followed, such as sluggish economic growth, rising global trade protectionism, falling exports, financial turmoil, rising unemployment, and so on. It has not only hit hard the developed capitalist countries in Europe, but also laid a grave concern for the recovery of the entire world economy. Therefore, it is very necessary for us to make a systematic study and analysis of the causes and effects of the European debt crisis. The countermeasures and suggestions for China to deal with the adverse effects of the European debt crisis are put forward. This paper is divided into five parts. The first part is the introduction, which mainly introduces the background and significance of the research. The second part is the literature review. The third part is the analysis of the causes of the European debt crisis, which is divided into two parts: direct cause analysis and root cause analysis. The direct causes mainly include the influence of the external international environment. The shortcomings of the euro zone system, the social welfare analysis of the euro zone countries, the poor rescue mechanism and the economic strength of the euro zone countries are different. The fundamental reason is to analyze the root causes of the European debt crisis from the perspective of the fundamental contradiction between Marxism and capitalism. The fourth part is the impact analysis of the European debt crisis, mainly including the impact on Europe itself. The impact on international trade and the impact on global financial markets. The fifth part is China's response. This paper mainly introduces how to deal with the European debt crisis and the problems and risks that should be paid attention to in the course of our own development. This paper systematically analyzes the causes and effects of the European debt crisis by means of integrating theory with practice and Marxism, and actively draws lessons and inspiration from the European debt crisis to offer suggestions for the good development of our country's economy and society.
【學(xué)位授予單位】:吉林大學(xué)
【學(xué)位級(jí)別】:碩士
【學(xué)位授予年份】:2013
【分類號(hào)】:F831.59;F123.16

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