浅析金融危机后人民币升值压力.doc

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[摘要]:随着中国经济与世界经济的进一步融合,人民币对美元一直保持升值态势。2008年10月至今,人民币对美元汇率基本维持稳定,但目前人民币面临着巨大的升值压力。本文正是在这一背景下,分析金融危机后期人民币与美元的汇率变化对进出口贸易的影响,通过分析本人认为:人民币升值会对我国进出口贸易及整个经济的发展产生许多不利影响,我们应当理性认识我国贸易顺差状况,理性分析人民币升值的压力。最后,本人对我国应对人民币升值压力提出了相关的政策建议。

[关键词]:金融危机  人民币升值压力   我国的对外贸易

 

[Abstract]: along with the Chinese economy and further integration of world economy against the dollar, keep appreciation posture. Since October 2008, the yuan against the dollar, but at present the basic maintain stable renminbi appreciation pressure facing enormous. This paper it is in this context, later analysis financial crisis of the yuan against the dollar exchange rate changes on import and export trade influence, through the analysis I think: RMB appreciation in import and export trade and to the development of the whole economy produce many adverse effects in China, we should be rational knowledge trade surplus status, rational analysis of RMB appreciation pressure. Finally, himself in order to deal with the pressures the yuan to put forward relevant policy Suggestions.

[Keywords]: the financial crisis;RMB appreciation pressure;China's foreign trade

 

近年来我国经常项目和资本项目持续“双顺差”使我国外汇储备迅速增加,在国际金融市场上形成了人民币需求大于供给的状况,形成了人民币升值的压力。以美国为代表的发达国家为了其自身利益,通过各种途径向中国政府施压,贸易保护意在要求人民币升值,海外投机资本的冲击也存在着人民币升值压力。

 

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