摘要
本文以2003-2015年"一带一路"沿线49个国家为研究样本,并分为整体样本及地区样本,应用动态空间面板模型,检验我国对沿线国家的投资模式。实证结果表明,我国对沿线国家投资具有显著的"第三国效应",并且混合垂直型投资是我国对沿线国家投资的主导模式。该种投资模式意味着中国对沿线国家投资的主要目的是在沿线不同国家之间建立复合式的跨国生产供应链,从而使得对不同国家间的投资形成互补,降低成本,增加产业竞争力。
The paper builds a dynamic space panel model to examine China's OFDI mode in "the Belt and Road" countries by employing a panel data of China as the home country and 49 host countries along "the Belt and Road" for the period 2003-2015.In addition to the overall sample,it is also divided into three regional samples.The empirical results show that,there is a significant third-country effect,mixed vertical OFDI is China's leading investment mode to "the Belt and Road".This kind of OFDI mode means that the main purpose of China is to establish the composite of multinational production supply chain,thus making investments among different countries complementary,reducing costs and increasing industrial competitiveness.
出处
《亚太经济》
CSSCI
北大核心
2017年第6期28-37,共10页
Asia-Pacific Economic Review
基金
吉林省教育厅"十三五社会科学研究规划项目"(项目编号:吉教科文合字[2016]第448号)
吉林省教育厅"十三五社会科学研究规划项目"(项目编号:吉教科文合字[2016]第444号)