RMB will become an international currency footman

RMB or will become an international currency hedging the sina finance opinion leader column (WeChat public kopleader) columnist Liang Haiming if the next two or three years the outbreak of the global financial crisis, the author thinks that, "The Belt and Road" will not be an option, but a necessity, the RMB is likely to become one of the international currency hedging. RMB or will become an international currency will soon be the world’s financial crisis? I recently attended the Australian international financial technology Analysts Association (IFTA) annual meeting, the participants with some financial analysts, many people from the technical analysis of different types of investment goods movements, are read out volatility means. In this regard, the author thinks that the analyst’s view is not sensational, but have some basis also began to appear signs. According to Bloomberg analysis shows that the global financial market to every seven will, for example, the October 19, 1987 disaster "on the New York stock market fell by a second decline in history, the Hongkong stock market also fell more than 10%, two major international financial center, the outbreak of a small crash. By 1997, every seven disaster situation is more serious, when the outbreak of the Asian financial crisis. In 2007, after the outbreak of the U.S. subprime mortgage crisis, triggered by the global financial tsunami. So, very soon to 2017, "every seven disaster" curse will appear? If so, which country or region would be detonated? Many participants in the international financial technology Analysts Association (IFTA) annual meeting of the financial analysts for this point of view, there is no exact answer. At the meeting, the author also agreed that the next two or three years or the outbreak of the global financial crisis. The author had pointed out on many public occasions, in 2008 after the outbreak of the global financial crisis, the U.S. economy and financial markets stand in trouble, to turn the tide, the United States launched quantitative easing (QE), the policy was triggered to follow all aspects of the central bank, a high degree of homogeneity of financial systems around the world, this homogenization is actually expanding the relevance of risk, thereby increasing the overall vulnerability. If the assumption that most financial institutions risk is proved to be wrong, the entire financial system will be infected, triggering a new round of global financial crisis. In addition to the above factors may lead to the global financial crisis, the author believes that there are at least several factors or will detonate the global financial crisis. First, a number of banks in Europe fell into financial difficulties, easy to detonate the financial crisis. Although the global banking system looks more a few times when the financial crisis is more perfect, but the essence of the bud, in addition to the recent Germany’s largest market capitalization of listed banks in huge losses, Deutsche Bank shares fell, the market value has shrunk the crisis, as Europe’s third largest economies of Italy, the country’s financial industry’s non-performing loan ratio as high as 18.1%, the euro zone is not only far exceeds the average value of 5.7%, and the ratio of the country is 10 times the United States, even in the 2008 outbreak of global crisis, the US banking sector non-performing loan ratio of only 5%. )相关的主题文章: