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东南亚区域发展与金融危机 被引量:4

REGIONAL DEVELOPMENT OF THE SOUTHEAST ASIA AND ITS FINANCIAL CRISIS IN 1997
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摘要 本文从东南亚国家的发展角度探讨了其金融危机的必然性。认为始于 1997 年的东南亚金融风暴并不是简单的金融信用危机,而是其经济发展模式的必然结果。经济发展过于依赖“外贸”和“外资”,为其经济发展的不稳定和爆发金融危机隐患之一;投资结构不合理,导致经济结构发展失衡,产业结构未能适时升级和转换,为其经济发展不稳定和日后爆发金融危机隐患之二;世界范围内区域经济一体化的冲击,动摇了东南亚国家经济基础,是其爆发金融危机的原因之三。 Based on the analyses of the development of the Southeast Asia, this paper concluded that its financial crisis happened in 1997 more reasonably be considered the outcome of the problems of its regional development, and suggested that: 1)the amount of foreign fun absorbed in an undeveloped country should be controlled by the government, the same as it were used; 2)the development of an undeveloped country should not heavily depend on both the foreign fun and the foreign trade; 3)the organnization of the unification of economy among different countries should not only pay attention to their structural similarities of their economy, dut to their structural differenes.
作者 胡本达 黄润
出处 《经济地理》 CSSCI 北大核心 1999年第4期61-63,94,共4页 Economic Geography
关键词 区域发展 金融危机 东南亚经济 regional development financial crisis Southeast Asia
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