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次贷危机后中国持有的美元资产风险与对策研究
引用本文:刘洋,寿志敏. 次贷危机后中国持有的美元资产风险与对策研究[J]. 商业经济(哈尔滨), 2010, 0(2): 53-54,73
作者姓名:刘洋  寿志敏
作者单位:上海理工大学管理学院,上海200093
摘    要:我国的外汇储备大量集中于美元和美元资产,特别是美国国债。美国次贷危机爆发后,中国外汇储备中的美元资产管理面临着更加严峻的考验。根据我国目前的外汇储备资产现状,应制定有效的应对策略,加大对外直接投资与储备资产多元化管理;加快增加黄金储备;以债权换技术、以债权换战略资源,且藏汇于民,以加速缓解人民币升值的压力,遏止资产风险的产生。

关 键 词:次贷危机  美元资产  风险  应对策略

On Risk and Strategy of Dollar Assets Held by china after subprime Crisis
LIU Yang,SHOU Zhi-min. On Risk and Strategy of Dollar Assets Held by china after subprime Crisis[J]. Business Economy, 2010, 0(2): 53-54,73
Authors:LIU Yang  SHOU Zhi-min
Abstract:China's foreign exchange reserves are mainly US dollars and dollar assets,especially US national debts.After outbreak of American subprime crisis,management on dollar assets faces more severe test in China's foreign exchange reserves.According to the current situation of China's foreign exchange reserves,we should map effective strategies to improve pluralistic management to foreign direct investment and reserve assets,increase gold reserve,change claims into technology and strategic resources,store exchang...
Keywords:subprime crisis  dollar assets  risk  coping strategy  
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