摘要
国家风险和主权风险是一对密切相关但又互不相同的概念。 1997年的金融危机把它们推向了人们关注的中心 ,产生了所谓的“评级危机”。国外对国家风险的测量和主权风险的评级形成了一套较完整的体系和模型 ,对此的了解不仅是吸引国际资本、对外投资的需要 ,也是维护经济安全的需要。
Country risk and sovereignty risk are two related closely but different conceptions. Financial crisis in 1997 so-called 'rating crisis' and make them become some hot issues. A set of analytical system and models has been established to evaluate country risk and grade sovereignty risk. It is helpful to attract foreign investment and protect national economy by understanding it.
出处
《经济社会体制比较》
CSSCI
北大核心
2003年第5期91-98,共8页
Comparative Economic & Social Systems