摘要
金融危机爆发前后,以美元为核心的全球货币汇率市场发生了剧烈波动。人民币对美元汇率在汇改之前存在低估,但自汇改以来人民币对美元汇率累计升值幅度的排名在32种货币汇率中已经上升到了第1位,原来"低估"的缺口已经得到弥补,如果人民币再度升值,恐对我国外贸出口市场份额的稳定及经济的平稳增长明显不利。
When the financial crisis broke out, global foreign exchange market which is dominated by the sovereign currency of dollar fluctuated violently. The continued depreciation of dollar blew up the oil and stock market bubbles, and when the bubbles broke the other global currencies revenged by depreciating rapidly against the dollar, burying a dangerous bomb for the next round crisis. RMB was undervalued before the exchange rate reform, hut it has ranked number one among 32 currencies in terms of accumulated appreciation against the US dollar, making up the previous undervaluation gap. If RMB continues to appreciate, it will have negative effects on stabilizing our export market and maintaining our economy's steady growth.
出处
《上海金融》
CSSCI
北大核心
2009年第8期65-69,共5页
Shanghai Finance
关键词
金融危机
汇率市场
波动影响
Financial Crisis
Foreign Exchange Market
Fluctuation Influence