This is a book on financial theory that studies US inflation, the global economy, and China's money market in recent years. The author believes that when more than a decade of monetary easing encounters fiscal stimulus and supply-side shocks, the return of high inflation is inevitable. The book is divided into nine chapters, which mainly discuss the causes of the current high inflation in the United States, the impact of the Fed's tightening on the US financial market and financial system, the spillover effect of the Fed's tightening on the Chinese economy, and China's policy response to stabilize growth. The world is currently in the midst of a major change that has not been seen in a century. Clarifying the inflation problem, exchange rate fluctuations, US economic development trends, and my country's current economic environment has important reference value and reference significance for achieving the stabilization and improvement of my country's economy and achieving high-quality development.
这是一本关于近年来美国通胀、全球经济以及中国货币市场研究的金融理论图书。作者认为,当十多年的货币大放水遭遇财政刺激、供给侧冲击,高通胀回归也就难以避免了。全书共分九章,主要探讨了美国本次高通胀的成因,美联储紧缩对美国金融市场及金融体系的影响,美联储紧缩对中国经济的溢出影响,以及中国稳增长的政策应对。当前世界深陷百年未有之大变局,厘清通胀问题、汇率波动问题、美国经济发展动向以及我国当前经济环境,对于实现我国经济企稳向好,实现高质量发展具有重要的参考价值和借鉴意义。
这是一本关于近年来美国通胀、全球经济以及中国货币市场研究的金融理论图书。作者认为,当十多年的货币大放水遭遇财政刺激、供给侧冲击,高通胀回归也就难以避免了。全书共分九章,主要探讨了美国本次高通胀的成因,美联储紧缩对美国金融市场及金融体系的影响,美联储紧缩对中国经济的溢出影响,以及中国稳增长的政策应对。当前世界深陷百年未有之大变局,厘清通胀问题、汇率波动问题、美国经济发展动向以及我国当前经济环境,对于实现我国经济企稳向好,实现高质量发展具有重要的参考价值和借鉴意义。