金融危机理论

  • 网络Financial Crisis Theory
金融危机理论金融危机理论
  1. 其次,为便于理清全文脉络,文章对主要的金融危机理论做了简要介绍,具体包括第一代金融危机理论、第二代金融危机理论、第三代金融危机理论。

    Secondly , for easily sorting out the full context , the article introduces briefly the major financial crisis theories , including the first-generation financial crisis theory , second-generation financial crisis theory and the third-generation financial crisis theory .

  2. 本文在对金融稳定内涵进行基本预设的基础上,进一步综述了前人关于金融稳定理论、金融危机理论、金融稳定评估方面的相关研究成果。

    On the foundations of putting forward the recognition of financial system stability , this dissertation summarizes the related research results in the aspect of financial stability theory , financial crisis theory and financial stability assessment .

  3. 金融危机理论及危机拯救:一个比较分析

    A Contrastive Analysis of Theories of Financial Crisis and Crisis Deliverance

  4. 马克思经济学视角下的金融危机理论研究

    The Study on the Financial Crisis Based on Marxist Political Economics ' Angle

  5. 预算软约束和金融危机理论的微观建构

    Soft Budget Constraints and Micro-fundamentals of Financial Crisis

  6. 从马克思金融危机理论解读美国金融危机

    Comprehending the American Financial Crisis from the Perspective of Marx 's Theory of Financial Crisis

  7. 金融危机理论研究及其给我国金融安全的启示

    The Enlightenment about the Theoretical Study of the Financial Crisis to China 's Financial Security

  8. 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。

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

  9. 该部分主要回顾金融危机理论,总结金融危机预警指标体系的构建方法、介绍常用的金融危机预警模型,并给予评述。

    The theories of financial crisis and some main early-warning models of financial crisis are reviewed . The methods of constructing early-warning system of financial crisis are summarized .

  10. 第2章为金融危机理论及预警方法,这一章比较系统全面地介绍了目前关于金融危机的四代模型、经典的危机预警方法以及预警方法的新发展。

    Chapter ⅱ is about financial crisis theories and early warning methods . In this chapter , we systematically introduce four-generation financial crisis models , classic crisis early warning methods and its new development .

  11. 金融危机理论呈现为经济金融视角→货币金融视角→技术金融视角的研究进程,折射出研究者从理论解释到防范危机的愿望。

    The theories taken on undermentioned research process : economic and financial perspective → monetary and financial perspective → technical financial perspective , which refracted the researchers ' desire from the theory explanation to the crisis prevention .

  12. 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。

    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 .

  13. 按照金融危机理论,短期负债是造成国际金融危机的重要原因,为了防止金融危机的爆发,应该通过对短期资本流入征税等措施来限制甚至禁止短期外债。

    Some theorists hold that short-term debt is an important factor that causes international financial crisis and the policy of restricting or banning the short-term capital by imposing taxes on its influx should be adopted to guard against the financial crisis .

  14. 金融危机形成理论的虚拟化&综述与评价

    A Summary and an Appraisal on Virtualized Mechanism on the Generation of Financial Crisis

  15. 金融危机&理论与模型

    Financial crises : theory and model

  16. 基于十几年的研究中,作者以发展金融危机的理论分析方法。

    Based on ten years of research , the authors develop a theoretical approach to analyzing financial crises .

  17. 有关金融危机的理论研究表明,资产价格波动与银行脆弱性之间存在很强的相关性。

    The literature concerning the financial crises shows that asset price volatility and banking fragility have strong corre - lation .

  18. 汇率制度、资本流动与金融危机:理论和实证分析&东亚金融危机视角

    Exchange Rate Regimes , Capital Flows and Financial Crises : Theoretical and Empirical Analyses & A Perspective from East Asia Financial Crisis

  19. 国际直接投资和国际金融危机相关理论研究成果表明,金融危机对国际直接投资产生深刻影响。

    The theoretical research results of FDI and international financial crisis indicate that the financial crisis has a profound impact on FDI .

  20. 从早期的债务&通货紧缩理论到现在的各类金融危机模型理论,各国学者从来没有停止过对金融危机的研究。

    From the Debt-Deflation theory to various financial crisis models today , the scholars have been being interested in financial crisis all the time .

  21. 文章分析了银行监管研究最新动态,认为我国应加强银行监管研究,为提高监管效率和防范金融危机提供理论依据和预警机制。

    It points out that our government should intensify financial supervision research to prepare countermeasures during these areas such as regulation efficiency improvement and financial crisis prevention .

  22. 基于金融中介的危机理论解释了银行业危机生发、演化的具体机理;

    The theories based on financial intermediaries explain the specific mechanism for the occurrence and evolution of banking crises ;

  23. 第三部分介绍国内外金融危机的相关理论模型和研究,并以此作为文章的理论依据。

    The third gives an introduction on related crisis theories and models home and abroad which are the basis of this thesis .

  24. 本文结合国际金融危机,从理论和实践两方面探讨了中国财政政策设计和实施中存在的一些重要问题。

    The paper explored a number of important issues on China 's fiscal policy designing and implementation combining theory with practice with international financial crisis .

  25. 但由于各个时期造成危机的原因不尽相同,对金融危机成因的理论分析随着时代的变迁逐步演变,经历了三个不同的阶段。

    But due to the different causes of the crisis in the different historical periods , the theoretical analysis of the causes of the financial crisis had evolved with The Times change , and the causes also can be roughly divided into three generations .

  26. 第一章金融危机与危机管理理论。

    Section one is the introduction of the financial crisis and the theory of crisis management .

  27. 第二章为金融危机救助的相关理论及文献综述,主要由国家干预理论简要回顾、主要金融危机理论介绍和危机救助文献综述三部分组成。

    It consists three parts of state intervention theory , major financial crisis theory and crisis relief literature review .

  28. 金融脆弱性与美国金融危机:理论与现实的思考

    The Frangibility of Finance and American Financial Crisis : Meditation on Theory and Reality

  29. 亚洲金融危机之后,金融危机再次成为理论上的热点问题。

    In the aftermath of Asian financial crisis , the subject of currency crisis has been the hotly debated issue again in the literature .

  30. 第一章首先对金融安全、金融风险和金融危机理论做了介绍,并分析论证了构建金融安全体系的必要性。

    The first chapter is the introduction of the relevant theories . Based on the analysis of the theories of financial security , financial risks and financial crises , the author argues for the importance of constructing financial security system .