供给侧结构性改革中的金融政策Supply-Side Structural Reform: Financial Policies
随着全球经济总体复苏,各国货币政策开始收紧。在此背景下,中国货币政策将如何调整?金融风险防控将成为当前经济工作的优先和紧迫任务,如何完善金融监管体系?如何防范内部和外部金融风险出现叠加和共振?金融政策将如何优化,为供给侧结构性改革拓展空间?
With overall recovery of the global economy, countries have been tightening their monetary policies. Against this backdrop, how will China adjust its monetary policy? Now that forestalling and defusing financial risks have been highlighted in the government’s economic agenda, how to enhance financial supervision system? How to prevent and manage interwoven financial risks from inside and outside? How to improve financial policies to create a sound environment for the supply-side structural reform?