华东师范大学学报(哲学社会科学版) ›› 2000, Vol. 32 ›› Issue (6): 92-96.doi: 10.16382/j.cnki.1000-5579.2000.06.014

• 经济 金融 • 上一篇    下一篇

经济全球化中的金融风险及政策协调

周炼石   

  • 收稿日期:2000-04-25 出版日期:2000-11-01 发布日期:2025-12-18

Financial Risks and Policy Coordinations in the Course of Economic Globalization

Lian-shi ZHOU   

  • Received:2000-04-25 Online:2000-11-01 Published:2025-12-18

摘要:

金融全球化伴随着全球性的金融风险乃至危机, 原因在于全球化背景下由主权国家支持的、以投机为目的的巨额国际投机资本的出现, 国际资本投机炒作具有巨大的炒作空间和广泛的技术手段, 以及国际金融制度存在着重大的缺陷。为了防范危机, 应加强国际公共管理, 加强各国的联合行动, 以达到国际社会的适度集权。具体而言, 就是根据汇率、利率以及征收外汇交易税等政策的抵触性、资助性的特点, 各主权国家在实现这些政策时相互协调, 合理集权。

关键词: 经济全球化, 金融风险, 政策协调, 适度集权

Abstract:

This article elaborates the possible worldwide financial risks in the process of economic globalization and further the importance of strengthening economic plolcy coordinations among nations. Based on the plokcy theory of centralization and decentralization, the author advances some necessary policy measures against financial risks and explores some policy coordinations about foreign exchange transaction taxation, exchaneg rate as well as interest rate.

Key words: economic globalization, financial risk, policy coordination, moderate centralization