内容摘要
希腊主权债务危机爆发,并以愈演愈烈之势蔓延到其它欧洲国家,诸如西班牙、爱尔兰、葡萄牙和意大利等国都不同程度上遭受信用危机。这一连串的主权债务危机,使欧洲经济陷于不利境地,出现资金纷纷外逃、货币市场流动性短缺、利息率上升与欧元贬值等情况。由于欧元区体制上的缺陷,使希腊的主权债务危机具有了很强的传染性,并得以侵蚀欧洲区域内具有很高债务风险的国家。本文致力于系统分析欧洲债务危机,在理清主权债务危机发展历程的基础上,揭示出欧洲主权债务危机产生的多方面原因,主要有:金融危机的影响;欧元区体制上的缺陷;内部经济失衡;不利的外部因素;夹层效应。由于欧元区国家之间具有紧密的内部联系,使得欧洲主权债务危机带来了的广泛影响,不仅使主权债务危机发生国遭受打击,也给欧盟及欧洲金融业的运行带来了不利影响。与此同时,经济的全球化和金融的国际化使得这种不利影响扩散到全球范围,中国作为其中不可或缺的一部分也遭受不利影响。
关键字:债务危机;货币市场; 国际投机基金;欧洲联盟;欧元汇率
Abstract
Greek sovereign debt crisis, and to be getting worse, spread to other European countries, to varying degrees, such as Spain, Ireland, Portugal and Italy and other countries suffer from the credit crisis. This is a series of sovereign debt crises, the European economy in a vulnerable position, the emergence of capital flight have, money market liquidity shortages, rising interest rates and depreciation of the euro. Greece'ssovereign debt crisis due to defects in the euro-zone regime, with a highly infectious, andcan be eroded in countries with high debt risk within the European region. Therefore, inthe backdrop of world economicintegration , in-depth study of European sovereign debt,strengthen the management of external debt practice, has a very important practical significance. This paper aims to systematic analysis of the European debt crisis, andclarify the basis of the development process of sovereign debt crisis revealed a numb
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