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Crisis Management and Resolution:Lessons from the Financial Crisis

Crisis Management and Resolution:Lessons from the Financial Crisis

作     者:Stijn Claessens Oana Nedelescu Katharine Seal 

作者机构:International Monetary Fund 

出 版 物:《China's Foreign Trade》 (中国对外贸易(英文版))

年 卷 期:2011年第7期

页      面:42-45页

学科分类:02[经济学] 0202[经济学-应用经济学] 020202[经济学-区域经济学] 

主  题:金融危机 危机管理 市场经济 金融领域 北欧国家 欧洲联盟 年代 类型 

摘      要:The recent crisis was unusual in its speed and breadth and the type of countries affected. Systemic crises, situations of significant stress in the financial sector, followed by significant policy interventions, often affect several countries at the same time. In the past, though, crises have been largely limited to specific regions or types of economies, the Nordic countries in the early 1990s, Latin America in the mid-1990s, Asia in the late 1990s, and the emerging market economies of the early 2000s. The recent crisis has been unusual in its global nature, affecting countries with a speed and virulence not seen since the Great Depression, with major advance countries and countries recently integrating with the European Union (EU) most affected.

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