任期过半的奥巴马

纽约——

2008年9月,全球经济和金融体系遭遇一次地震袭击,震中在美国。那时正好是布什政府即将结束之时,离总统大选还有2个月。从危机管理的角度看,这次危机发生的时间坏透了。

当时资产价值、清偿能力以及资产负债表的连贯性存在巨大的不确定性。不确定性引起了恐慌,导致银行、企业以及家庭贮藏现金,消费急剧下滑,零售业随之狂跌。没过多久,就业和投资也是如此。个人的合理抉择造成了影响群体的不理性结果。

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