摘要
经济风险是指经济需求或者经济供给的因素产生的对经济增长和运行的不确定性影响。本文从三个视角分析了中国实体经济、虚拟经济和收入分配中潜伏的经济风险,认为只有经济肌体内部各项指标比例相对均衡,才能缓解和抵御金融危机的外部冲击。
Economic risks refer to the unpredictable influence, which is imposed by economic demand or factors of economic supply, upon the economic growth and development from. This paper, from the three perspectives, gives an in-depth analysis of the crouching economic risks confronting Chinese substantial economy, virtual economy, and income allocation. Thus it leads to the conclusion that financial clashes with the outside economies can be relieved and resisted only by seeking an appropriate balance among the various indicators in the structure of economy.
出处
《中国政法大学学报》
2009年第2期87-96,159,共11页
Journal Of CUPL
基金
席涛教授承担的中国人民银行课题研究项目"金融风险和资源风险研究"研究成果
项目编号(PBC050816)