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日本地震、海啸的恐慌稍显平息,利比亚局势就再次拉响警钟,欧洲主权债务危机也伺机凑热闹。全球金融市场风起云涌,不只各国货币轮番登场争做强者,大宗商品也开始了角逐式上涨,资本市场则以动荡作陪衬……此起彼伏的噪音渲染出一种深不可测的气氛。面对日本核危机的升级、美国预算赤字的攀升、欧洲主权债务危机的悲情环绕,再加上全球高通胀趋势日趋严重,经济复苏步伐且行且停,未来全球金融市场又将何去何从?
Japan’s earthquake and tsunami panic slightly subsided, the situation in Libya sounded the alarm again, the European sovereign debt crisis is also waiting to join in the fun. The turmoil in the global financial markets has not only come from all over the world, but commodities have also started to rise in competition and the capital markets have become turmoil in the capital markets ... One of the most unpredictable atmosphere is the noise after another. Faced with the escalation of the nuclear crisis in Japan, the rise of the U.S. budget deficit and the tragedy of the European sovereign debt crisis, coupled with the increasingly serious global inflation and the steady pace of economic recovery, where will the global financial markets go in the future?