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在全球债务危机日益加剧的情况下,纵观亚洲各个经济体,在亚洲金融危机和美国次贷危机中两次遭受重创的韩国,却是财政状况保持良好的国家之一。关注韩国对主权债务风险的管理,对中国有重要的借鉴意义。文章通过分析韩国财政赤字率、债务负担率、经常项目赤字占GDP比重、经济增长率、国债收益率等多个指标,对韩国主权债务风险进行度量,并提出有益于中国应对主权债务风险的经验借鉴。
As the global debt crisis worsens, one of the countries with good fiscal conditions looks at the various economies in Asia, South Korea that suffered two hard times in the Asian financial crisis and the U.S. subprime mortgage crisis. Concerned about the management of sovereign debt in South Korea, there is an important reference for China. The article measures the sovereign debt risk of South Korea by analyzing several indicators such as the fiscal deficit rate, the debt burden rate, the current account deficit ratio, the economic growth rate, the national debt rate of return and puts forward some experiences that are beneficial to China’s response to the sovereign debt risk. Learn from