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Magnetic flap thermometer resolving global economic and financial situation in 2012

9 xg magnetic flap | | glass thermometer thermometer floating ball | | glass thermometer thermometer two-color thermometer

( Magnetic flap thermometer) After the financial storm in 2008, in 2009, after the great recession, slightly strong recovery in 2010 is destined to be short-lived. In 2011, the fragile economic recovery under many of the adverse impact of major events, make new difficulties encountered in the global economy, financial markets into a new risk. In 2012, the world economy will be more fragile, national policy choices will be even more difficult.

according to the report, the global economy towards a new & other; Stagflation & throughout; Period. This judgment has two meanings: on the one hand, due to finance without ammunition to play again, and had to squeeze spending to prevent debt risk, the global economy will continue to decelerate, local region into recession; On the other hand, in order to sustain the economic development, the developed countries still ultra-loose monetary policy implementation, developing countries also are turning to monetary policy, inflation will remain high. Global economic operation indicators monitoring in the first quarter of 2012 global floating ball thermometer GDP discount rate will increase 1. 1 6%, compared with the previous quarter. 8% to continue downward, all hit a low since the recovery. Throughout the year, is expected in 2012 glass thermometer global economic growth rate of 2. 2%, compared with 2011 levels. In a weak economy, commodity prices, global inflation is lower, but still will reach 5 all the year round. 0%, slightly less than 6, 2011. The level of 5%.

the continuation of low economic growth, policy continues to loose. According to the report, the overall U. S. economic growth in 2012 will continue to lower growth, the possibility of a double-dip recession, global economic growth is about 2. 2%? In the first quarter growth rate of about 1. 9% quarter-on-quarter will be accelerating the trend. Due to the commodity price highs, inflation will be easing, inflation rate is about 2. 3%; Unemployment fell but still high, which is about 8. 8%.

due to the slow growth of economy, the federal reserve will continue to maintain loose monetary policy, and may be introduced in view of the quantitative easing monetary policy mortgage bond market, went into the United States is expected to increase, mainly European debt crisis will spread and glass thermometer due to emerging market countries in the risk of stagflation, well-funded private us companies, corporate profits and stock prices of listed companies is about to rise further, enterprise investment in technology upgrades will increase, is conducive to private income increase and the U. S. economic recovery.

the European economy is in recession, tight fiscal and loose money. Looking ahead to 2012, the economy will continue in a state of recession in the first half, the second half of the year may be a slight recovery, annual economic growth rate is about - 0. 5%; Larger decline in the first quarter, growth is about - 1. 5%. Results in the stagnation of the European economy is the main reason of the internal consequences of a debt problem, namely the high cost of financing; Banking because of capital adequacy issues and the pressure of regulatory standards, the deleveraging process is still not over, credit support ability is not enough. In addition, the external environment for the development of the European economy is bad, because the U. S. economy is not remarkable growth, emerging market growth is slowing sharply, because can't have too much of a pull effect on European exports. In adverse circumstances, the European central bank will continue to keep interest rates low and at the same time in the launch of quantitative easing, intensify support for the European banking liquidity.

in addition, according to the report, the Japanese economy rebounded strongly after the quake, but cannot last forever. Emerging market growth is slowing, monetary policy is loose.

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