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由于经济转型国家的宏观经济处于“不安全”运行的区间,国际金融危机对经济转型国家的经济安全造成重大的威胁。本文研究俄罗斯经济安全战略,指出俄罗斯2009年《新国家安全战略》的变化与特点、俄罗斯国家“经济安全临界值”的内容和要点;对1998年与2008年国际金融危机中俄罗斯的经济安全状况进行比较分析;为经济转型国家应对国际金融危机、保障和维护国家的金融和经济安全提供借鉴,为探索转型国家经济安全的路径选择提供理论支撑。
As the macro-economy of the countries with economies in transition is in an “unsafe” operating range, the international financial crisis poses a major threat to the economic security of countries with economies in transition. This article studies Russia’s economic security strategy, points out the changes and characteristics of Russia’s “new national security strategy” in 2009, the content and key points of Russia’s national “economic security threshold value”, and analyzes Russia’s economy in the 1998 and 2008 international financial crisis And provide a theoretical basis for the countries with economies in transition to deal with the international financial crisis, safeguard and safeguard the country’s financial and economic security, and provide theoretical support for the exploration of the path of economic security in transition countries.