作为最早从疫情中复苏的经济体之一,中国在许多其他主权国家前就已经逐渐过渡到正常的政策环境,并将政策重点调整至去杠杆。上述去杠杆管理正面临挑战。与此同时,“共同繁荣”和“双循环”等备受瞩目的政策主题正在为中国的中期发展指明方向。碳转型政策开始产生信用影响。
议题:
• 中国政府在执行降低风险和去杠杆战略时将面临哪些挑战?
• 共同富裕倡议和中国其他监管发展有何信用影响?
• 中美关系将如何影响中国的信用环境?
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SpeakersMartin Petch Vice President - Senior Credit Officer Moody's Investors Service
Jack Yuan Vice President – Senior Analyst, Sovereign Risk Moody's Ratings
Lillian Li Vice President - Senior Credit Officer, Credit Strategy and Guidance Group Moody's Ratings
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