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外需减缓、出口受阻是金融危机给东南亚新兴市场国家带来的最大威胁,为此各国央行和财政当局纷纷出台措施,稳定市场,提振信心尽管东南亚等新兴市场不是此次危机的重灾区,但是危机对东南亚各国所造成的影响也不可低估。为了抑制全球危机的冲击,提振市场信心,稳定本国金融市场,各国纷纷出台措施应对金融危机可能引发的一系列问题,防止危机进一步由金融市场向实体经济蔓延。
The slowdown of external demand and the blockage of exports are the greatest threats to emerging market countries in Southeast Asia from the financial crisis. Therefore, central banks and financial authorities in various countries have introduced measures to stabilize the market and boost confidence. Although emerging markets such as Southeast Asia are not the hardest hit areas in the crisis, The impact of the crisis on all countries in Southeast Asia should not be underestimated. In order to curb the impact of the global crisis, boost market confidence and stabilize their financial markets, various countries have introduced measures to deal with a series of problems that may be triggered by the financial crisis and prevented the crisis from further spreading from the financial market to the real economy.