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2008年三季度以来,美国次贷危机逐渐演变为国际金融动荡,并逐渐拖累实体经济,我国外贸出口面临的外部环境出现逆转,外需减弱、各种风险显现。本文从宏观经济、行业、微观企业三大层面,揭示当前国际金融动荡背景下广西外贸出口的主要风险以及企业风险控制手段,并提出了一系列应对国际金融动荡的建议。
Since the third quarter of 2008, the subprime mortgage crisis in the United States has gradually evolved into an international financial turmoil and gradually dragged down the real economy. The external environment facing China’s exports has been reversed, external demand weakened and various risks emerged. This article reveals the main risks and the risk control measures of Guangxi’s foreign trade and exports under the current international financial turmoil from the three aspects of macroeconomics, industry and micro-enterprises. It also puts forward a series of suggestions to cope with the international financial turmoil.