作 者: ;
机构地区: 暨南大学国际学院东南亚研究所
出 处: 《东南亚研究》 2009年第3期73-77,共5页
摘 要: 金融自由化是经济全球化的趋势,但自由放任和全凭市场调节的金融自由化必然引发金融动荡乃至发生金融危机。本文从西方自由主义理论的指导要义出发,考察了过早进行金融自由化的东南亚国家和金融监管缺失的美国爆发金融危机的原因,并分析了两次金融危机对当事国和全球经济安全的影响。 Although financial liberalization is an inevitable trend in globalization time, laissez-faire policy and absolute market regulation will result in financial turbulence and even financial crisis. From the perspective of essential principle of western liberalism theory, this article tries to explore the factors causing the financial crisis in Southeast Asian countries and America--the former have liberalized their finance prematurely, and the latter is lack of financial supervision. Finally, the article analyzes the impacts of the two cases of financial crisis on the countries involved and global economic security.
关 键 词: 自由放任 经济安全 东南亚金融危机 美国次贷危机
领 域: [经济管理—金融学]