U.S. Economic Policy Towards China under the Biden Administration

Zaharul Abdullah, Rosyidah Muhamad, Noor Ashikin Said
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Abstract

Since the inception of the open-door policy in 1978, China has progressively become more integrated into the global economy through trade, foreign direct investment, and, more recently, outward direct investment. This economic integration has gained momentum with initiatives like the ‘Go Global’ strategy, China’s entry into the World Trade Organization (WTO) in 2001, and the launch of the Belt and Road Initiative in 2013. China’s economic ascent, coupled with its increasing political influence and military power, prompted the United States (US) to initiate a strategy of rebalancing in the Asia Pacific region, starting with the Bush administration and continuing through the Obama, Trump, and Biden administrations. During the Trump administration, this rebalancing strategy was supported by decoupling strategy, ultimately leading to a trade war with China. Despite its intention to avoid the initiation of a new Cold War and to adopt a more moderate stance towards China, the US-China trade war has evolved further into a tech war under the Biden administration. Given this context, this article aims to outline the primary characteristics of the US economic policy towards China during the Biden administration, comparing it to the Trump administration and assessing its impact on both nations. The central argument of this article is that the primary characteristics of the US economic policy towards China under Biden administration are rebalancing and decoupling, carried over from the policies of the preceding Trump administration, and there are clear signs that these characteristics are deepening. Furthermore, the article demonstrates that the extensive decoupling measures enacted by the US have proven effective in diminishing China’s role in global industrial and supply chains, particularly in industries related to semiconductors and chipmaking equipment.
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拜登政府时期的美国对华经济政策
自 1978 年实行对外开放政策以来,中国通过贸易、外国直接投资以及最近的对外直接投资,逐步融入全球经济。随着 "走出去 "战略、2001 年中国加入世界贸易组织(WTO)以及 2013 年 "一带一路 "倡议的提出,这种经济一体化的势头日益强劲。中国的经济崛起,加上其不断增强的政治影响力和军事实力,促使美国启动了亚太地区再平衡战略,这一战略从布什政府开始,一直持续到奥巴马、特朗普和拜登政府。在特朗普政府时期,这一再平衡战略得到了脱钩战略的支持,最终导致了与中国的贸易战。尽管拜登政府有意避免引发新冷战,并对中国采取更为温和的立场,但中美贸易战在拜登政府时期进一步演变成了一场科技战。在此背景下,本文旨在概述拜登政府时期美国对华经济政策的主要特点,将其与特朗普政府进行比较,并评估其对两国的影响。本文的中心论点是,拜登政府时期美国对华经济政策的主要特点是再平衡和脱钩,这是从之前的特朗普政府的政策中延续下来的,而且有明显的迹象表明这些特点正在加深。此外,文章还表明,美国颁布的广泛脱钩措施已被证明能有效削弱中国在全球产业链和供应链中的作用,尤其是在与半导体和芯片制造设备相关的行业。
本文章由计算机程序翻译,如有差异,请以英文原文为准。
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