Theory of financial crisis

Theory of financial crisisTheory of financial crisis
  1. Comprehending the American Financial Crisis from the Perspective of Marx 's Theory of Financial Crisis

    从马克思金融危机理论解读美国金融危机

  2. Firstly , this part elaborates the related theory of financial crisis warning , including the meaning and characteristics of financial crisis , the basic theory of early warning .

    首先阐述财务危机预警的相关理论,包括财务危机的涵义、特征以及预警的理论基础。

  3. Chapter 4 : Case research of the early warning theory of the financial crisis .

    第4章:财务危机预警模型的个案研究。

  4. Domestic and foreign scholars have conducted a lot of research on enterprise financial warning and EVA , based on these findings , the paper has elaborated the theory of the financial crisis and EVA .

    国内外学者对企业财务预警和EVA进行了大量的研究,本文在借鉴这些研究成果的基础上,对财务危机理论,EVA相关理论进行了详细的阐述。

  5. Firstly , the thesis expounds the pre-warning basic theory of the financial crisis , defines the concept of financial crisis , and designs a set of pre-warning index system that includes 7 respects and 25 indexes .

    论文首先阐明了财务危机预警基础理论,界定了财务危机概念,并构建了一套包括7个方面25个指标的财务危机预警指标体系;

  6. Chapter 2 : Early warning theory of enterprise 's financial crisis .

    第2章:企业财务危机预警理论。

  7. This artical draws debates and discussion on theory and reality of financial crisis system in an effort to make contributions to our financial crisis warning system construcion .

    本文初步探讨了财务预警体系的理论和实务,希望对我国财务预警体系的构建有所贡献。

  8. In chapter two , the paper reviews and sorts out the Marxism theory of economic crisis and financial crisis and summarizing the Marxism theory at home and abroad .

    第二章回顾和梳理马克思主义的经济危机理论和金融危机思想的相关内容,并且总结国内外马克思主义关于经济危机理论的研究。

  9. Analysis of Causes of Financial Crisis Corporation and its Countermeasure Firstly , by way of summarizing the current study situation about financial crisis warning , the thesis analyzed the theory and the method of financial crisis warning .

    首先总结了国内外财务危机预警的研究现状,并对财务危机预警的相关理论作了分析,尤其是财务危机的形成原因和财务危机的预警方法。

  10. Risk society theory , the theory of financial crisis , the blind obedience of psychological theory , the theory of separation of powers and public failure theory are the solid theoretical foundation of the financial emergency management .

    风险社会理论、金融危机理论、盲从心理理论、分权制衡理论和公共失灵理论等是金融应急管理坚实的理论基础。

  11. Chapter 2 mainly involves the overview of relevant theories , including savings theory , the theory of economic imbalances and financial crisis theories .

    第2章是本文涉及的主要相关理论与研究综述,包括储蓄理论、经济失衡理论和金融危机理论。

  12. Some mainstream financial theories including theory of financial ecosystem , theory of financial sustainable development , theory of financial fragility and financial crisis are analyzed and interpreted uniformly by applying viability theory . Thirdly , the theory of monetary policy is surveyed .

    应用生存理论,对一些主流的金融理论,包括金融生态理论,金融可持续发展理论和金融脆弱性与金融危机理论进行了分析,并做了统一的阐释。再次,总结了货币政策理论。