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对我国外债管理的分析及对策建议
作者单位:对外经济贸易大学卓越国际学院 北京100029
摘    要:从20世纪80年代拉丁美洲的债务危机,到1998年的亚洲金融风暴,可以看到在面对危机时,一个国家管理外债的水平和控制风险的能力,这在一定程度上决定了这个国家是否能顺利渡过困境。我国政府目前面对纷繁复杂的国际经济形势,大力加强国家外债管理,对我国经济建设将起着至关重要的作用。本文初步探讨了我国外债的现状,对外债管理做了一些粗浅的分析研究,目的在于政府合理利用外债,最大限度地控制风险,促进经济健康发展。

关 键 词:债务危机  外债管理  对策

On the Management of Chinese Securities:Analysis and Countermeasure
Authors:DUAN Zhi-duo
Institution:DUAN Zhi-duo
Abstract:Facing the big crisis such as Latin America's debt crisis appeared in 1980's,and Asia financial plough storm in 1998,the level of managing foreign loan and ability of controlling risks can determine whether a country could overcome difficulties smoothly in some extent.Nowadays,Chinese government is experiencing a complicated international economic situation.The government's policy of strengthening foreign loan management will play a key role in Chinese economic construction.This paper firstly focus on four themes:Chinese foreign loan and foreign loan management researching,how to utilize foreign loan rationally and avoid risks.
Keywords:Debt crisis  Foreign loan management  Countermeasures  
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