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国际金融形势分析与展望
引用本文:王元龙,黄金老.国际金融形势分析与展望[J].经济理论与经济管理,2003,0(4):16-21.
作者姓名:王元龙  黄金老
作者单位:中国银行国际金融研究所 北京 100818
摘    要:2002年全球金融板块呈现调整特征:一是国际股票市场全线大跌,但其他市场却有不同程度的“好”行情;二是股票、风险投资等直接融资受挫,银行信贷等间接融资重拾风光;三是美元强货币走跌,欧元等弱货币走强;四是美国等强势金融体遭困,东南亚等弱势金融体逞强。与此相对应,中国的对外金融呈现一派繁荣景象,以开放促改革的局面初步形成。

关 键 词:国际金融  对外金融  市场  
文章编号:1000-596X(2003)04-0016-06
收稿时间:2003-02-12
修稿时间:2003年2月12日

INTERNATIONAL FINANCIAL SITUATIONS: ANALYSIS AND PROSPECTS
WANG Yuan-long,HUANG Jin-lao.INTERNATIONAL FINANCIAL SITUATIONS: ANALYSIS AND PROSPECTS[J].Economic Theory and Business Management,2003,0(4):16-21.
Authors:WANG Yuan-long  HUANG Jin-lao
Institution:Institute of International Finance, Bank of China, Beijing 100818, China
Abstract:In 2002, global finance shows the characteristics of adjusting: 1. International stock markets fell greatly, while other markets were more or less up. 2. Direct financing, such as stocks and risk investments, was beaten, while indirect financing, such as banking credit, was again grew. 3. The exchange rate of US dollar fell, while that of Euro went up. 4. Strong financial groups like the U. S. got into trouble, while weak ones like the Southeast Asian entities became stronger. All these made Chinese foreign financial situations prosperous, and developed the reform-encouraging situations by the opening up.
Keywords:international finance  foreign finance  market  
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