首页|基于后疫情时期全球通胀下中国金融市场风险探究

基于后疫情时期全球通胀下中国金融市场风险探究

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全球经济正笼罩在"黑天鹅事件"及"灰犀牛事件"的叠加阴影中.新冠肺炎疫情、猴痘疫情的大流行;持续受阻的供应链与国际运输;俄乌战争所导致的区域能源危机及粮食危机愈演愈烈;欧佩克组织对加大能源供应的暧昧态度;持续加息的各国政府和疲软的全球货币等因素都在持续性推高通胀问题.且自 2023 年 3 月以来,瑞银和瑞信的合并;美国银行业的危机仍持续发酵,近 190 家银行面临结构风险冲击;美国白宫和众议院之间关于美债上限问题的谈判仍僵持不下,债务违约的阴霾正在笼罩市场.在此结构下,中国金融市场亦面临着诸多问题.
An exploration of China's financial market risks based on global inflation in the post-epidemic era
The global economy is shrouded in the shadow of the black swan incident and the gray rhinoceros incident.COVID-19,the epidemic of monkeypox;Continued blocked supply chain and international transportation;The regional energy crisis and food crisis caused by the Russian-Ukrainian war have intensified;OPEC's ambiguous attitude towards increasing energy supply;Governments that keep raising interest rates and weak global currencies are pushing up inflation.And since March this year:the merger of UBS and Credit Suisse;The crisis of American banking continues to ferment,and nearly 190 banks are facing structural risk impact;Negotiations between the White House and the House of Representatives on the US debt ceiling are still deadlocked,and the haze of debt default is hanging over the market.Under this structure,the China market is also facing many problems.

inflationregional crisisglobal currencydebt default

袁思芫、陈林山、贺政国

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广东理工学院, 广东 肇庆 526100

英国斯特林大学, 英国 斯特林

通胀 区域危机 全球货币 债务违约

广东理工学院校级项目

JXGG202325

2024

未来与发展
中国未来研究会

未来与发展

CHSSCD
影响因子:0.396
ISSN:1003-0166
年,卷(期):2024.48(2)
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