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释放国债风险的策略选择
引用本文:夏杰长. 释放国债风险的策略选择[J]. 河北学刊, 2001, 21(6): 42-47
作者姓名:夏杰长
作者单位:武汉大学,商学院博士后流动站,湖北,武汉,430072
摘    要:改革开放以来 ,我国重新启动公债的发行。特别是 1 994年以来 ,政府债务收入迅速增长 ,成为政府可支配资源的重要组成部分。公债作为政府调控市场、应对经济周期的重要手段 ,起到了非常重要的作用。如何判断我国的政府债务收入 ,确定适度的国债规模和发债空间 ,释放国债风险 ,是一个不容忽视的问题

关 键 词:国债规模  国债风险  经济稳定
文章编号:1003-7071(2001)06-0042-06
修稿时间:2001-09-20

The Stragetic Choice of Releasing National Debt's Risk
XIA Jie- chang. The Stragetic Choice of Releasing National Debt's Risk[J]. Hebei Academic Journal, 2001, 21(6): 42-47
Authors:XIA Jie- chang
Abstract:Since the reform and opening up policy,our country has started issuing bonds again,especially from 1994,the revenue of governmental debts has increased rapidly ,which has become an essential part of our government's disposal resources.Bonds,which is regarded as government's important mechnism to control market and measure the economic cycle, performs an important function.Comes to judge the revenue of governmental debts and how to determine the moderate scope and space of issuing bonds,releasing bonds's risk is an unignorable issue .
Keywords:scope of national debts   bonds risk    economic stability  
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