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随着我国全球化进程的不断推进,在我国经济快速发展的同时,经济波动也在一定程度上受到全球金融市场的影响,当全球金融市场冲击,我国经济的发展也会受到一定的影响。这就是说金融部门与实体经济之间有着密切的联系,在金融危机中这种联系尤为明显,学者务必清楚的认识到金融市场的摩擦和冲击能够影响整个宏观经济,因此,在建模时要正视来自于金融危机的冲击。当我国经济波动受到金融冲击时,应当采取有效措施,降低对我国经济发展的不良影响。本文经过大量的调查研究,针对金融冲击和中国经济波动进行简要分析,以期相关学者能够从中得到启示,为我国经济研究提供参考。
Along with the continuous advancement of our country’s globalization, while our economy is developing rapidly, the economic fluctuation is also affected to some extent by the global financial market. When the global financial market is hit, our economy will also be affected to a certain extent. This means that there is a close connection between the financial sector and the real economy. In the financial crisis, this connection is particularly evident. Scholars must clearly understand that the friction and impact of financial markets can affect the entire macroeconomy. Therefore, when modeling Face the impact of the financial crisis. When our economy fluctuates under financial shocks, we should take effective measures to reduce the adverse impact on our country’s economic development. After a great deal of investigation and study, this article makes a brief analysis of the financial shocks and the fluctuation of China’s economy, in the hope that relevant scholars can get enlightenment and provide reference for our country’s economic research.