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在现代市场经济条件下,影响财政风险的因素是多维的,因此要综合评价一国的财政风险,需要一个全面的视角。本文将首先论述在经济运行中存在什么样的财政风险,进而提出一套评价财政风险的综合指标体系,并指出该指标体系是综合认识一国财政风险的基础,可在此基础上利用多指标综合评价方法进行综合评价,以获得一个总的认识。
Under the conditions of modern market economy, the factors that affect the financial risk are multi-dimensional. Therefore, to comprehensively evaluate the fiscal risk of a country requires a comprehensive perspective. This article will first discuss what kind of financial risks exist in the economic operation, and then put forward a set of comprehensive index system to evaluate the financial risk. It points out that the index system is the basis for comprehensively understanding the fiscal risk of a country. Based on this, Comprehensive evaluation method for comprehensive evaluation, in order to obtain a general understanding.