摘要
本文着眼于美国联邦债务问题,系统梳理全球第一大经济体美国联邦债务发展的历史和现状。采用定性与定量相结合的方法,对债务数据开展结构性分析,从债务制度入手研究其体制机制,深入探讨债务问题及美方相关政策措施可能对其自身以及全球经济金融市场产生的影响。向我国相关投资主体、贷款主体及经济管理部门提出有针对性的策略建议。着重剖析美国在联邦债务管理方面的经验教训,向我国财政及立法部门提供政府债务管理的参考启示。
This paper examines the federal debt issue of the United States.the largest economy in the world,through systematic study of its history and development.Combining qualitative and quantitative methods,the paper conducts structural analyses of the debt statistics,studies the debt institutional mechanism,and discusses in-depth the debt issue and relevant policy impacts on the United States and global economy,as well as on the global financial markets.At last,strategies are put forward to Chinese investors,lenders and government agencies to tackle the negative impacts of the United States debt problem,and federal debt management implications are provided to Chinese fiscal and legislative departments with lessons learnt from the United States.
作者
杨新亮
巫亚桥
施解语
宋叶根
马笑天
Yang Xinliang;Wu Yaqiao;Shi Jieyu;Song Yegen;Ma Xiaotian
出处
《开发性金融研究》
2022年第2期81-96,共16页
Development Finance Research
关键词
美国联邦债务
债务制度
数据指标
建模分析
影响趋势
对策启示
The United States Federal Debt
Debt Institutional Mechanism
Debt Statistics
Modeling
Impacts
Countermeasures and Policy Implications