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谢伏瞻
    中国社会科学院学部委员,学部主席团主席,研究员,博士生导师。历任中国社会科学院院长、党组书记,国务院发展中心副主... 详情>>
蔡 昉
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李培林
    男,汉族,出生于1955年5月,山东济南人,博士,研究员,全国人民代表大会社会建设委员会副主任委员,中国社会科学... 详情>>

    2015~2020年中国构建“路园带结合”模式,防范“一带一路”长期投资风险

    摘要

    “一带一路”高质量可持续发展的关键问题之一是防范资金规模巨大、周期长的基础设施建设投资风险。在总结“一带一路”六年多来取得超预期成绩的基础上,针对“一带一路”长期投资领域存在的深层次问题,本文提出了通过构建“路园带结合”模式,防范“一带一路”长期投资风险的建议,分析了构建该模式防范长期投资风险的基本机理,并基于基础设施先行资本与企业社会资本均衡决定总产出的原理,分析了构建“路园带结合”模式的三种基本路径。

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    Abstract

    One of the key problems of the sustainable high-quality development of the “Belt and Road” Initiative is to prevent the investment risk existing in the infrastructure construction with huge capital scale and long period. Based on the summary of the achievements reached more than expected in the past six years,aiming at the in-depth problems that exist in the field of long-term investment,the proposal of preventing long term investment risk of the “Belt and Road” through constructing the “road-zone-economic belt combination” was thus proposed. In this paper,the basic mechanism of the model was analyzed,and additionally based on the principle,which is,the balance between social overhead capital of infrastructure and corporate social capital decides the total output,three ways to construct “road-zone-economic belt combination” were also analyzed in this article.

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    作者简介
    李延均:李延均,上海立信会计金融学院财税与公共管理学院教授,研究方向为政府间国际经济合作、公共政策与公共服务。
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