Statistical analysis on risk of Chinese national debt
With increasing in national debt issuance, the risk of national debt is concerned. Mainly by four indices to measure it: the rate of nation to borrow the money, the debt degree of dependency, debt burden rate, and the rate of resident to agree the loan. There is risk in the first two indicators in recent years which are over the alarm level; the latter two indicators are not at risk. To inhabit risk we should optimize structure of financial expenditure, adjust the orientation of bond funds, make issuance of national debt marketization, vigorously develop the shortterm debt, increase the proportion of longterm bonds.
nationaldebt risk indicator debtburdenrate
Liu Zhongmin Chen Suqiong
School of ManagementJilin Normal UniversitySiping,Jilin School of Economics and Management Shenyang Agriclture University Shenyang,Liaonin
国际会议
广州
英文
1-4
2011-05-13(万方平台首次上网日期,不代表论文的发表时间)