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QE4冲击和中国的应对策略研究
引用本文:杨文超.QE4冲击和中国的应对策略研究[J].廊坊师范学院学报,2013(2):98-101.
作者姓名:杨文超
作者单位:徐州工程学院管理学院,江苏徐州221008
摘    要:金融危机后市场流动性状况急剧恶化,美联储推出第四轮量化宽松政策。面对QE4冲击,中国不应立刻跟风出台4万亿投资的2.0版,暂时也没有必要大规模减持美元资产而盲目进行外汇资产多元化配置。中国现在要做的是扩大内需,减少对美国市场的依赖,避免对美元的贸易顺差以控制美元资产规模。

关 键 词:QE4  货币政策  金融

QE4 Impact and Coping Strategies
YANG Wen-chao.QE4 Impact and Coping Strategies[J].Journal of Langfang Teachers College,2013(2):98-101.
Authors:YANG Wen-chao
Institution:YANG Wen-chao (School of Management, Xuzhou Institute of Technology, Xuzhou Jiangsu 221008, China)
Abstract:After the financial crisis, the market liquidity conditions deteriorated sharply, and the Fed launched the fourth round of the quantitative easing policy. Faced with the QE4 impac4 China should not immediately follow the trend to introduce the version 2.0 of the four trillion investments. For the time being, there is no need to reduce in large scale the size of the U.S. dollar assets or blindly carry out diversified configuration of the foreign exchange assets. It is important for China to expand domestic demand, reduce dependence on the US market, and control the scale of US dollar assets to avoid its trade surplus with the United States.
Keywords:QE4  monetary policy  financial
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