The universal experience of financial crisis management is that the longer one waits to resolve it, the more expensive the ultimate bill will be. In the eurozone we have reached that moment. Two months ago we used to say the worst things that could happen were that the crisis would extend to Italy and Spain; and the economic recovery would stall.
金融危機管理的普遍經驗是,越拖著不去解決危機,最終付出的代價就越大。現在歐元區就到了這樣一個時刻。兩個月前,我們還曾主張,可能發生的最糟糕的事情是:危機將蔓延至意大利和西班牙,經濟復蘇將陷于停滯。
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