欧债危机对中国经济的影响及对策摘要2010年5月,希腊首先出现资不抵债的现象,之后,欧洲债务危机爆发。危机爆发后,欧洲的债务问题就成为了国际社会讨论和关注的焦点之一。欧债危机的爆发,几乎把整个世界经济拖入了经济危机的泥潭。面对危机的到来,世界各国都采取了相应的措施来控制或减轻危机所带来的影响。中国虽然在这场欧洲灾难中没有受到太大的影响,但是欧债危机对中国经济的影响确实是存在的。最直接的影响就是减少了中国对欧洲的出口和人民币相对于欧元的被动升值。本文以欧债危机为研究对象,通过对比、数据分析的研究方法从欧债危机发生的历程、爆发的原因、还有对我国经济的影响这几个方面进行了深入的分析研究,找到应对欧债危机的对策,即稳步推出缓慢的实施人民币汇率的改革,调节外汇储备的结构,合理的规避风险,加强资本流动的监管,遏制资产泡沫的膨胀,推进人民币国际化,增强政策独立性,加强地方债务风险的防范。关键词欧洲债务危机;欧盟;主权债务---本文来源于网络,仅供参考,勿照抄,如有侵权请联系删除---TheDebtCrisisImpactEconomicandCountermeasurestoChinaAbstractInMay2010,firstofall,thephenomenonoftheinsolventGreece,aftertheEuropeandebtcrisis.Afterthecrisis,theEuropeandebtproblembecametheinternationalcommunitytodiscussandoneofthefocusofattention.Theoutbreakofthecrisis,almostthewholeworldeconomyintothemireoftheeconomiccrisis.Thearrivalofacrisis,allcountriesintheworldtotakethecorrespondingmeasurestocontrolormitigatetheeffectsofthecrisis.ChinaalthoughnotintheEuropeandisasteraffectedbytoomuch,butthedebtcrisisimpactonChina'seconomyisindeedexist.ThemostdirectimpactistoreduceChina'sexportstoEuropeandthepassiveappreciationoftherenminbiagainsttheeuro.BasedonEurope'sdebtcrisisastheresearchobject,bycontrast,dataanalysisresearchmethodsfromthecourseoftheEuropeandebtcrisis,thecauseoftheoutbreak,andtoourcountryeconomicimpactoftheseveralaspectshascarriedonthethoroughanalysisandresearch,findcountermeasurestocopewiththecrisis,thesteadyflowslowimplementationoftheRMBexchangeratereform,adjustthestructureofforeignexchangereserves,reasonableavoidrisk,strengthenthesupervisionofcapitalflowsandcurbtheexpansionoftheassetbubble,topromotetheinternationalisationoftherenminbi,strengthenpolicyindependence,strengthenthelocaldebtriskprevention.KeywordsTheEuropeandebtcrisis;TheEuropeanUnion;Thesovereigndebt---本文来源于网络,仅供参考,勿照抄,如有侵权请联系删除---目录摘要........................................................................................................................IAbstract.................................................................................................................II第1章绪论..........................................................................................................11.1研究的背景.............................................................................................11.2研究的目的和意义.................................................................................11.3研究的内容.............................................................................................21.4研究方法.................................................................................................2第2章相关理论..................................................................................................32.1欧债危机定义.........................................................................................32.2欧债危机的产生及发展..........................................