全球金融危机后十年资本市场发展前景

D. Stojković, Stevan Luković
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引用次数: 1

摘要

本文讨论了2018年底,即全球金融危机爆发十年后的全球资本市场前景。考虑到美国和中国是世界上最大的经济体,在全球国内生产总值(gdp)中所占的份额合计约为40%,本分析主要针对这两个具有系统重要性的主要经济体。此外,本文还指出了在观察到的十年期间积累的最重要的宏观经济问题。世界主要经济体面临的财政困难极大地限制了政府在发生新的全球金融冲击时进行干预和提供援助的能力。
本文章由计算机程序翻译,如有差异,请以英文原文为准。
The prospects of capital market development ten years after the global financial crisis
The paper discusses the prospects of the global capital market at the end of 2018, that is, ten years after the onset of the global financial crisis. Bearing in mind that the United States and China are the world's largest economies, with a combined share in the global gross domestic product of approximately 40%, the analysis is focused on these two major and systemically important economies. Also, the paper points to the most important macroeconomic problems that have accumulated in the observed ten-year period. The financial difficulties faced by the world's leading economies greatly limit the ability of governments to intervene and provide assistance in the event of new global financial shocks.
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