摘要:为了应对2008年全球性的金融危机影响,中国政府运用积极的财政政策和适度宽松的货币政策,赢得了“保增长”的关键性胜利。但是增长的背后存在着各种隐忧,投资、教育医疗、住房和养老等体系建设落后,内需刺激乏力,结构失衡日益突出等。通过对中国政府在金融危机之后对市场的干预措施的效应分析,深层次探讨造成政府干预失灵的原因,从而进一步研究在后危机时代政府与市场的关系,最后对我国应如何正确处理政府与市场关系提出合理性建议。这有助于我们进一步认清政府与市场的角色,总结经验,取长补短,从而规范政府自身的行为,发挥市场的优点和长处,以确保我国经济的持续稳定快速的发展。
关键词:后危机时代 政府干预 政府与市场
Abstract:In order to deal with the global economic crisis in 2008, Chinese government finally won the crucial success of “guaranteed growth” by carrying out proactive fiscal policy and moderately easy monetary policy. However, different kinds of threats lie behind the growth, like domestic demand stimulus forces and structural imbalance becomes more serious after the accomplishment of systems such as investment, education, medical care, housing, pension and so on.Through the effective analysis to Chinese government intervention in the market after the economic crisis, this paper carries on a profound discussion on the malfunction of government intervention, then makes further researches on the relationship between the government and market in the Post Financial Crisis Era, and finally puts forward reasonable suggestions on how to handle the relationship between government and market properly. This will be helpful for us to know more clearly about the role of government and market, to sum up the experience and to make up for each other’s deficiencies, which will discipline the government’s behavior and give full play to the advantages to the market to ensure the sustainable and stable growth of our country’s economy.
Keywords: Post Financial Crisis Era government intervention government and market