摘要
本文对日本20世纪八九十年代发生的经济危机进行回顾,从资产负债表的角度理解经济现象背后的逻辑,重点分析经济泡沫刺破后日本政府在应对危机时的具体措施,最后总结出一般性规律和特点,为进一步完善社会主义市场经济体制提供借鉴和参考。
This paper examines the economic crisis in Japan in the 1980 s and 1990 s and seeks to explain the phenomenon from the perspective of corporate balance sheets. It reviews specific measures taken by the Japanese government in response to the bursting of an economic bubble. The paper summarizes the characteristics of the Japanese economy over that period and provides a reference for China in its effort to strengthen thesocialist market economy.
出处
《金融市场研究》
2019年第1期79-96,共18页
Financial Market Research