首页> 中文期刊> 《南京理工大学学报(社会科学版)》 >欧债危机背景下我国通货膨胀治理研究

欧债危机背景下我国通货膨胀治理研究

         

摘要

改革开放30年以来,我国经济取得了举世瞩目的成绩,但也出现了四次大的通货膨胀,目前欧债危机越演越烈,对世界经济包括我国经济必将带来巨大的影响,极有可能助推我国已经出现的通货膨胀。文章通过对我国历次通货膨胀原因的探悉和成功治理对策的研究,认为要充分发挥市场调控功能,加快经济增长方式的转变,合理运用国家宏观调控政策治理我国可能出现的复合式通货膨胀。%China's economy has achieved remarkable results,in the past thirty years of Reform and Opening-up,accompanied by four major inflations.At present,the ever-worsening deterioration of European debt crisis will bring about tremendously negative influences in world and China's economy,which will definitely worsen China's inflation.Based on an investigation of the reasons and countermeasures to each inflation,this paper holds that we should take advantage of market regulation functions,quicken economic growth mode transformations,and reasonably exert macroeconomic regulation policies,so as to prevent potential compound inflations in China.

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