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本文拟就供给侧结构性改革的理论依据、现实根源、症结难度、风险掌控、目标校准与发力权衡等一系列问题,进行有系统较深入的探讨,并结合当前的前沿现实数据,进行了若干评论并提出相关建议。具体观点包括:1.“供给侧结构性改革”战略取向厚积薄发来之不易;2.“供给侧结构性改革”难度极大、但风险却完全可以掌控;3.动态地双管齐下地去精准目标靶向金融与拓展国内外产能空间;4.转向供给侧改革需要适度缓冲、攻防转换与权衡布局;5.关键在于振兴实体经济、选定金融路径、挪除“融资成本大于投资利润”的障碍;等等。
This article intends to conduct a systematic and in-depth discussion on a series of issues such as the theoretical basis, the root of reality, the difficulty of the crux of the problem, the control of risks, the target calibration and the balance of the weights of the supply-side structural reforms, and carries out systematic and in-depth discussions. Combining the current cutting- Several comments and make suggestions. Specific perspectives include: 1. “Supply-side structural reform” strategic orientation is not easy; 2. “Supply-side structural reform” is extremely difficult, but the risks can be completely controlled; 3. Two-pronged approach To the precise target of targeting the financial and expanding domestic and international production space; 4 shift to the supply side of the reform needs to be modest buffer, offensive and defensive transition and trade-offs; 5 The key is to revitalize the real economy, select the financial path, remove Profit "obstacle; and so on.