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2007年以来,爆发于美国华尔街的新一轮金融危机快速席卷全球。几乎在同一时间,繁荣的经济泡沫被无情地挤掉,全世界都深陷经济衰退的泥沼之中,救市成为各国政府的一致行动。这场全球性的金融危机的成因复杂多样,学界普遍认为包括金融机构忽视风险、金融监管存在漏洞、宏观经济政策失衡等因素。加上金融杠杆无限度地放大了风险,金融全球化的进程对风险传递推波助澜,致使
Since 2007, a new round of financial crisis broke out on the Wall Street in the United States quickly sweeping the globe. Almost at the same time, the booming economic bubble was mercilessly squeezed away and the whole world was in the midst of a recession. Rescuing the city has become a concerted action of all governments. The causes of this global financial crisis are complex and diverse. The academic circles generally consider that there are such factors as neglect of risks by financial institutions, loopholes in financial supervision and the imbalance of macroeconomic policies. Coupled with the financial leverage to enlarge the risk unlimited, the process of financial globalization fueled the risk of transmission, resulting in