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东亚模式与东南亚金融动荡
引用本文:林大辉. 东亚模式与东南亚金融动荡[J]. 佛山科学技术学院学报(社会科学版), 1998, 0(2)
作者姓名:林大辉
作者单位:佛山科学技术学院
摘    要:东南亚金融动荡的主要原因是实施了东亚模式。东亚模式的内涵包括政府强力干预经济、推行赶超战略、依赖外向型经济和吸收过量外资。这些因素的负面作用造成了东南亚金融动荡

关 键 词:东亚模式  金融动荡  强力政府  外向型经济  吸引外资

The Model of East Asia and the Financial Turbulence in Southeast Asia
Lin Dahui. The Model of East Asia and the Financial Turbulence in Southeast Asia[J]. Journal of Foshan University(Social Science), 1998, 0(2)
Authors:Lin Dahui
Affiliation:Lin Dahui *
Abstract:The chief reason causing the financial turbulence in Southeast Asia lies in the implementation of the model of East Asia. The connotation of the model of East Asia includes the following aspects:intervening the economy from the powerful government, pursuing the stratege of catching up with others and surpass them,depending on export oriented economy and assimilating too much foreign funds. The side effects of all these factors brought about the turbulence.
Keywords:the model of East Asia   financial turbulence  powerful government   export oriented economy funds   attracting foreign funds
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