首页> 中文期刊> 《北京大学学报:哲学社会科学版》 >美国全球负债增长模式的震荡、扩散与前景——“债务危机”、“金融过度”与“去虚拟经济过度”

美国全球负债增长模式的震荡、扩散与前景——“债务危机”、“金融过度”与“去虚拟经济过度”

         

摘要

论文提出和回答了如下几个新问题:美国是如何经营世界经济的?美国经营全球模式及其传导机制是什么?次贷危机和诸多“危机后危机”如何交织作用?美国模式的震荡、扩散和前景如何?论文从次贷危机的解剖人手,透视“美国全球负债增长模式”的构架及其传导和扩散的机制,讨论了“债务危机”、“去金融过度”和“再产业化”等问题,揭示了这个模式的经济学灵魂并估测了它的生存空间。%This paper has raised and answered several new questions as follows: How has America managed global economy? How has America managed its global-debt-growth model and its transmission mechanism? How does the subprime crisis work jointly with "the crisis after crisis" on world economy? How does the American model shock and spread into world economy and what is its prospect? To answer these questions, this paper starts with analyzing the subprime crisis, then studies the framework of the American global-debt- growth model and its transmission and spread mechanism, discusses such issues as debt-crisis, de-over financing, and re-industrialization, and finally reveals the economic soul of this model and evaluates its space of survival.

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