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》 2008年第5期11-21,共11页
摘 要: 2007年下半年至今,越南金融出现了较为动荡的局面。其表现为:通货膨胀居高不下、越盾贬值、股票和房地产暴跌等。其中,通货膨胀是导致其他一系列负面经济情况产生的根源。造成这次金融动荡的原因,除了受国际经济环境的影响外,还与越南政府的宏观经济调控不力、外贸逆差急增、投资效果差有着极大的关系。面临居高不下的通货膨胀,越南政府出台了一系列对应措施,这些措施已逐步取得成效。越南经济发展的潜力无疑是很大的,但是越南经济能否稳步、顺利地发展,很大程度上取决于政府的宏观调控能力及国际经济环境的影响。 From la.te 2007 until now, Vietnam's economy has been in turbulence-rising inflation, devaluating dong, slumping stock and real estate market, and so on-among all these demonstrations, inflation is the source of all the negative effects on the economy. The reasons for the current economic instability, besides the influence from the world economic environment, lie in the Vietnamese government-the weaknesses in exerting macroeconomic control, the growth of foreign trade deficit, and the poor results of investments. In order to control the serious inflation, the Vietnamese government implemented a series of countermeasures and they gradually took effects. Vietnam's economy has a great potential. Whether it will develop steadily and smoothly depends to a great degree on the government's abilities to exert macroeconomic control, and on the influence of the global economy.
领 域: [政治法律—政治学] [政治法律—外交学]