当前位置:主页 > 社科论文 > 国际关系论文 >

中国投资在“一带一路”沿线国家的区位分布及政治风险实证分析

发布时间:2018-05-09 13:49

  本文选题:“一带一路” + 投资目的 ; 参考:《云南财经大学学报》2017年06期


【摘要】:为了对中国推行的"一带一路"发展政策进行较为全面的风险评估,文章基于WGI评价体系,以被投资国家的政治风险为研究对象,采用所建的模型对2004~2015年统计年鉴的数据进行了多元回归计算。分析得出:中国对"一带一路"周边国家进行投资时,对发达国家和发展中国家存有不同的风险抵御策略,这些差异与中国的投资目的——推行共商共建共享有关。在投资的过程中,中国企业承担政治风险的能力有明显的提升,这为建立沿线国家的政治风险预警机制提供了理论参考。
[Abstract]:In order to carry out a comprehensive risk assessment of Belt and Road's development policy in China, this paper, based on the WGI evaluation system, takes the political risk of the invested country as the object of study. The multivariate regression analysis of the statistical yearbook data from 2004 to 2015 is carried out by using the established model. It is concluded that when China invests in the neighboring countries of Belt and Road, there are different strategies to resist risks between developed and developing countries. These differences are related to the purpose of China's investment, that is, to promote co-construction and sharing. In the process of investment, the ability of Chinese enterprises to bear political risks is obviously enhanced, which provides a theoretical reference for the establishment of political risk early warning mechanism in the countries along the route.
【作者单位】: 四川大学马克思主义学院;
【分类号】:D820;F125


本文编号:1866253

资料下载
论文发表

本文链接:https://www.wllwen.com/shekelunwen/guojiguanxi/1866253.html


Copyright(c)文论论文网All Rights Reserved | 网站地图 |

版权申明:资料由用户72aa1***提供,本站仅收录摘要或目录,作者需要删除请E-mail邮箱bigeng88@qq.com