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全球视角下的英国脱欧与金融影响
Brexit and its impact on financial sector from a global perspective
【摘要】 <正>全面公投近三年后,英国并未如预期的那样脱离欧盟,与欧盟之间的未来关系也不明朗。即使在软脱欧的情况下,被排除在单一市场之外也可能使金融业成为英国脱欧的最突出受害者,伦敦金融业将丧失在其他欧盟成员国开展业务的特权。伦敦目前与欧盟有关的大部分金融服务活动都面临风险,很可能必须迁往欧盟成员国。法兰克福金融中心或将成为"无英国欧盟"的主要金融中心。
【Abstract】 Nearly three years after the referendum, the future relationship between the UK and the EU remains unclear. The UK did not withdraw from the European Union on March 29 as expected. The depar ture date was post poned twice and now the date was extended to October 31, 2019. So far, UK’s 46-year EU membership becomes uncertain. It is unclear when the Brexit deal will be passed. Even if it is to be passed, what adjustments will be made to the specific content remains to be seen. Brexit has had and will continue to have an impact on almost every aspect of European economy and European people’s life. It will shape people’s perceptions of the future of the UK and Europe.
- 【文献出处】 中国银行业 ,China Banking , 编辑部邮箱 ,2019年06期
- 【分类号】F156.1
- 【被引频次】1
- 【下载频次】603