摘要
结合江苏省“1+3”区域新格局的战略规划,重点分析江苏省债务规模及风险特征,分别从各主要城市近年来债务余额、城投债规模、政府一般公共预算收入及GDP增速等方面,系统分析江苏省政府债务风险特征,提出控制江苏省政府债务的增量、避免对“1+3”各区域政府债务管理一刀切等建议,目的在于有效管理政府债务风险。
Combined with the strategic planning of“1+3”regional new pattern,this paper focuses on the analysis of debt scale and risk characteristics of Jiangsu Province.From the aspects of debt balance of major cities in recent years,the scale of urban investment debt,the general public budget revenue and GDP growth rate with the government,it systematically analyzes the risk characteristics of the provincial government debt,so as to propose to control the increase of government debt in Jiangsu Province and avoid the regional government debt.The purpose of all-in-one measures is to effectively manage the government debt risk.
作者
耿洁
GENG Jie(Zijin College of Nanjing University of Technology,Nanjing 210023,China)
出处
《宁波职业技术学院学报》
2019年第6期84-88,共5页
Journal of Ningbo Polytechnic
基金
2018年江苏省社科应用研究精品工程财经发展专项课题“江苏省政府债务风险特征及防控路径探析:基于‘1+3’区域新格局”(18SCB-55)
2017年江苏省哲学社会科学研究项目“金融市场助力江苏省企业‘三去一降一补’的改革路径”(2017SJB2079)
关键词
江苏省
政府债务
债务风险
风险特征
Jiangsu Province
government debt
debt risk
risk characteristics