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在金融危机爆发6年之后,中国逆市改变在国际关系中的战略守势在APEC会议和“一带一路”规划的双重推动下,基础设施投资“走出去”在2014年成为国家战略。“中国版马歇尔计划”浮现于世。中国之现状类似二战后之美国:拥有全球最多的外汇储备,需要通过输出产能,带动全球经济增长并平衡国内过剩产能。在金融危机爆发6年之后,中国逆市改变在国际关系中的战略守势,寻求在全球经济中承担更大责任,并实施更大胆的走出去战略。
Six years after the outbreak of the financial crisis, China’s adversity has changed its strategic position in international relations Under the dual promotion of the APEC Conference and the Belt and Road Initiative, infrastructure investment has become a national strategy in 2014 . “Chinese version of Marshall Plan ” appeared in the world. The status quo in China resembles the United States after World War II: Having the world’s largest foreign exchange reserves needs to boost global economic growth and balance domestic excess capacity through output capacity. Six years after the outbreak of the financial crisis, China’s tumultuous turnaround has changed its strategic stance in international relations, seeking greater responsibility in the global economy and implementing a more daring strategy of going global.