歐洲主權(quán)債務(wù)危機下中國面臨的機遇與挑戰(zhàn)
本文選題:歐洲主權(quán)債務(wù)危機 切入點:競爭力 出處:《吉林大學(xué)》2013年碩士論文 論文類型:學(xué)位論文
【摘要】:2009年,如同多米諾骨牌一樣,從希臘開始的債務(wù)危機席卷了整個歐元區(qū),引發(fā)了全球的恐慌。歐元,這個嶄新的生命體,經(jīng)歷了十年的繁榮階段,突兀的開始呈現(xiàn)疲軟的態(tài)勢。歐洲主權(quán)債務(wù)危機就如同“毒瘤”一般,侵蝕著全球的經(jīng)濟。雖然中國的國際債務(wù)和國際赤字一直遠低于國際臨界點,國家經(jīng)濟近些年來也一直呈現(xiàn)穩(wěn)定增長的趨勢,然而也不乏存在通貨膨脹、地方舉債消費、產(chǎn)品缺乏創(chuàng)新力等問題,尤其是在當(dāng)前全球經(jīng)濟一體化的格局下,歐洲主權(quán)債務(wù)危機給我國經(jīng)濟帶來了更多不確定因素。 本文首先對歐洲主權(quán)債務(wù)危機的形成與演進作了較為詳細的介紹,,然后以重要歷史事件為分割點,將這次危機分為開始、發(fā)展、擴散、“緩和”四個時間段,進而指出歐洲主權(quán)債務(wù)危機的爆發(fā)并非偶然,而是由多種因素的綜合推動。最后,通過對歐洲主權(quán)債務(wù)危機下中國面臨的挑戰(zhàn)與機遇進行系統(tǒng)的論述分析,整理出中國面臨挑戰(zhàn)與機遇應(yīng)采取的有效舉措。 全文共分為六個部分: 第一部分為文章的緒論部分,主要由選題的背景和研究意義,論文研究的思路,文章的創(chuàng)新點三部分構(gòu)成。 第二部分為文獻綜述部分,綜合了國內(nèi)外學(xué)者、政要的諸多觀點,闡述了歐洲主權(quán)債務(wù)危機爆發(fā)的原因。 第三部分主要以時間為切入點,闡述了歐洲主權(quán)債務(wù)危機的形成與演進過程。 第四部分通過貨幣和非貨幣兩個層面論述了歐洲主權(quán)債務(wù)危機下中國面臨的挑戰(zhàn),主要介紹的是歐洲主權(quán)債務(wù)危機給我國帶來的消極影響。 第五部分主要討論的是歐洲主權(quán)債務(wù)危機下中國所面臨的兩方面重大機遇。 第六部分通過對以上歐洲主權(quán)債務(wù)危機的諸多論述,強調(diào)以歐為鑒,從企業(yè)和政府兩個層面探討中國應(yīng)采取的具體對策。 最后一部分為結(jié)論部分,指出中國應(yīng)迎接挑戰(zhàn),抓住機遇。
[Abstract]:In 2009, as Domino, starting from the Greek debt crisis swept across the eurozone, triggered a global panic. The euro, this new life, experienced a boom period of ten years, suddenly began to show weakness. The European sovereign debt crisis as a "cancer" in general, eroding the world although the international economy. China international debt and deficit has been far lower than the critical point, the national economy in recent years has been a steady growth trend, but there is also no lack of inflation, local consumer debt problems, lack of product innovation, especially in the current pattern of global economic integration, the European sovereign debt crisis in China the economy brings more uncertainty.
Firstly, the formation and evolution of the sovereign debt crisis in Europe are introduced in detail, and then to the important historical events as the dividing point, this crisis will be divided into the beginning, development, diffusion, "" four time periods, and then pointed out that the European sovereign debt crisis is not accidental, but by a variety of factors to promote the comprehensive the analysis of the system. Finally, discusses the challenges and opportunities faced by Chinese on European sovereign debt crisis, sort out Chinese facing challenges and opportunities should take effective measures.
The full text is divided into six parts:
The first part is the introduction part of the article, which mainly consists of the background and significance of the topic, the thinking of the thesis and the three parts of the article.
The second part is the literature review, which combines the domestic and foreign scholars and the views of the political leaders, and expounds the reasons for the outbreak of the European sovereign debt crisis.
The third part mainly expounds the formation and evolution process of the European sovereign debt crisis with time as the breakthrough point.
The fourth part discusses the challenges faced by China under the European sovereign debt crisis from two levels of money and non money, mainly introducing the negative impact of European sovereign debt crisis on China.
The fifth part mainly discusses the two major opportunities facing China under the European sovereign debt crisis.
The sixth part, through the discussion on the above European sovereign debt crisis, emphasizes the European experience and explores the specific countermeasures China should take from the two levels of business and government.
The last part is the conclusion, pointing out that China should meet the challenges and seize the opportunity.
【學(xué)位授予單位】:吉林大學(xué)
【學(xué)位級別】:碩士
【學(xué)位授予年份】:2013
【分類號】:F831.59;F832.5;F123
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