摘要
通过回顾1997年亚洲金融危机和2008年次贷危机对韩国经济的巨大影响,运用相关金融理论分析了韩国爆发这两次金融危机的深刻的金融体制和企业经营方面的原因,同时重点阐述了韩国采取的恢复经济的一系列政策措施以及解释了其成功有效的原因;最后,通过查阅国内相关资料和数据,得出我国在金融体制和企业经营方面也存在类似的问题,为消除我国爆发金融危机的隐患和促进我国经济的发展,在韩国应对这些问题的成功经验的引导下,提出了应对以上问题的对策建议。
This paper reviews the great impact that the financial crisis in 1997 and the subprime crisis in 2008 had on Korea,illustrates the key reasons of financial system and enterprise management why these two crises took place in Korea by using related financial theories,at the same time,lists a series of policies that the Korean government had taken to recover its economy and explains why these policies are effective;at last,by studying the relative materials and statistics in China,this paper finds that the key reasons of financial system and enterprise management also exist in China,so this paper suggests the relevant advice to solve these problems in order to avoid the crisis and the economical depression,regarding the successful experiences that Korea had coped with these problems.
出处
《哈尔滨工业大学学报(社会科学版)》
2011年第1期104-108,共5页
Journal of Harbin Institute of Technology(Social Sciences Edition)
关键词
金融危机
韩国
次贷危机
financial crisis
Korea
subprime crisis