經濟周期論 的英文怎麼說

中文拼音 [jīngzhōulún]
經濟周期論 英文
business cycle theory
  • : 經動詞[紡織] (把紡好的紗或線梳整成經紗或經線) warp
  • : 濟名詞1. (古水名) the ji river2. (姓氏) a surname
  • : Ⅰ名詞1 (圈子; 周圍) circumference; periphery; circuit 2 (星期) week 3 [電學] (周波的簡稱) c...
  • : 期名詞[書面語]1. (一周年) a full year; anniversary 2. (一整月) a full month
  • : 論名詞(記錄孔子及其門徒的言行的「論語」) the analects of confucius
  • 經濟 : 1 [經] (社會物質生產和再生產的活動) economy 2 (對國民經濟有利或有害的) economic; of industria...
  1. On the phase of business cycle of current china economy

    中國的階段
  2. This part is divided into two chapters : in chapter one, after brief description of essential concepts of business cycle fluctuation, it comes to the learning conclusion that there has been a study of main theories in the theory circles in accordance with the earlier business cycle theory, keynesslism ' cycle theory and new classicalism ' theory

    該部分內容由以下兩章構成:第1章在簡要提出波動一般概念的基礎上,按早波動理、凱恩斯主義波動理和新古典主義波動理等三大階段,歸納出現有主要波動理的研究結
  3. In chapter two, we introduced the theoretic foundation of leading indicator method, modern theory of business cycle and business cycle analysis

    第二部分介紹了先行指標方法的理依據?現代和景氣循環方法,為下文的實證分析做了理準備。
  4. Therefore, study on business cycle fluctuation of real estate industry is not only more helpful to the healthy development of real estate industry and also a creative meaning to the economy society in theory

    因此,分析研究房地產波動,不僅具有理上的開拓意義,而且有助於在實踐中指導房地產業的健康發展。
  5. Macroeconomic fluctuation impact on the companies " earnings significantly, therefore the business cycle fluctuations will affect the companies ’ asset value fluctuations. according to morton ’ s asset value model, if the asset of company is less than a specified threshold value, the company ' s

    結合我國金融體制改革,得到結是,中國的金融壓抑和信貸配給再加上政府對銀行營活動的控制,造成了違約率循環和波動項之間的同向關系。
  6. This paper is aimed at professional analysis of the generation mechanism and some basic points on business cycle fluctuation of real estate industry, and further study of the characteristics of business cycle fluctuation of real estate industry and its relationship with macroeconomic business cycle. writer is prefer to conclude that policy cycle fluctuation is a fundamental cause on business cycle fluctuation of real estate industry in the period of chinese economy system shift. in the end writer su

    本文集中分析和研究了房地產波動的生成機理等基本理性問題,探討了我國房地產波動的特徵及其與宏觀的相互關系,提出了當前我國轉軌時,政策波動是房地產波動的根本原因觀點,同時提出了應對波動的房地產業發展政策建議,這些不但是對的創新,而且更是房地產波動理的擴展。
  7. The writer studies the developed steps of real estate industry in the above - mentioned period and describes its generation mechanism, characteristics and cause of business cycle fluctuation of real estate industry in the period of our economy system shift. it is necessary to point out that policy cycle fluctuation should be a fundamental cause on business cycle fluctuation of real estate industry in china. writer here jumps at the conclusion that the recovery phase and depression phase of business cycle in our real estate industry should be later than the expansion phase and decline phase

    該部分內容由第3章構成,即從房地產波動的一般研究轉到對我國房地產波動進行分析,從總體上看,改革開放以來我國房地產業的真正形成與發展只有20年的歷史,通過對這一短時中國房地產業發展的探討,指明轉軌時中國房地產波動的一些主要特點,同時指出我國房地產波動形成機制與原因,當前我國轉軌時,政策波動是房地產波動的根本原因,並從理角度分析了房地產波動與宏觀波動在各個階段間的相互關系,得出我國房地產相對于宏觀波動來說在復甦和蕭條滯后,但高漲和衰退卻先行的結
  8. This paper is referred to detailed study on business cycle fluctuation of real estate industry based on analysis method of modern economics and the current economic situation in our country, which is composed of the following three parts : part one : through brief summary on the main theories of business cycle fluctuation and discussion on the main viewpoints on business cycle fluctuation of real estate industry, it tells us, based on the true cases, the generation mechanism of business fluctuation of t real estate industry just for further analysis and study of business cycle fluctuation of the housing and land in our country as a theory preparation

    本文運用現代學的分析方法,同時結合我國的實際,對房地產波動問題進行了較為深入的探討。本文由以下三個部分組成: 1通過簡要歸納、總結主要波動理及房地產波動理主要觀點,從實證角度分析各國或地區房地產波動,提出房地產波動的生成機理,為分析、研究我國房地產波動提供理準備。
  9. The bank vulnerability has been matter of concern in the works of economic historian and the institutional school. the classical economists such as marx, marshall, keynes mainly describe and analyze bank crisis from the angle of economic cycle, minsky and kindleberger introduces the behavior factor of microscopic main body into the analysis of bank vulnerability. the development of the game theory and the information economics lay a solid foundation for stiglitz and weiss ' s study about bank vulnerability

    銀行脆弱性問題在史家和制度學派的著作中多有及,馬克思、馬歇爾、凱恩斯等學家主要從的角度描述銀行危機的現象和原因,分別重視信用規模不穩定和社會流動性偏好的波動對銀行系統的影響,但馬克思將銀行信用危機看作是危機的結果;明斯基、金德爾伯格引入微觀主體的行為因素對銀行的脆弱性進行分析;博弈和信息學的發展最終為斯蒂格利茨、韋斯等人對銀行體系脆弱性的研究提供了較為系統、堅實的微觀基礎。
  10. Economic periodic fluctuation monitor and early warning means that the theories and methods on economic monitor, economic evaluation, economic forecasting and policy selection are studied on the basis of economic periodic fluctuation - one special economic phenomenon

    波動監測預警是指圍繞循環波動這一特定現象所展開的一整套監測、評價、預測和政策選擇的理和方法體系。
  11. Part3, which concentrates on the real reason and transmitting mechanism of china ' s economic fluctuations firstly

    波動既是宏觀學中的一個核心理問題,更是與現實生活密切相關的重大實踐問題。
  12. My thesis has three parts : in part 1, i briefly introduce the background of the selected title, the goal of research and research meaning of this text. i mainly study the concept, the theory putted forward by the economists about the reason causing economic fluctuation and the macroeconomic control to economic fluctuations. in part 2, i regard chinese economic cycle as the observing object, using the traditional method and economic mathematical model to measure and analyze chinese economic cycle systematically since the reform, then i study the nature, characteristic and main influencing factor of chinese economic fluctuations since the reform of 20 years

    本文的研究工作主要由三部分內容組成:第一部分首先簡要介紹了本文的選題背景、研究的目標和研究意義,然後重點考察了的概念、各國學家解釋發生原因的一般理以及波動的宏觀調控等內容;第二部分主要以改革開放以來中國波動為研究對象,運用傳統方法和數學模型對這一時中國波動進行了詳細、系統地測定,並考察了改革以來中國波動的性質、特徵以及主要影響因素;第三部分重點分析了中國波動的真正原因及其傳遞機制,並在前文研究的基礎上,依據「反」理探討了對中國波動進行調節的基本思路和對策。
  13. When discussing the allocation among sectors, the author makes the point that the recognition of business cycle is the foundation and starting point of asset allocation among sectors

    關于股票資產的行業配置決策,作者研究結指出,識別是機構投資者進行行業資產配置的基礎和出發點。
  14. In the 1st chapter, we introduce the significance of the title, and the status quo of macro tax regulation and control since reform and opening up, and then look back to the tax reforms and tax and expending policies which our country has put in force, ultimately we give the motive and the content of this paper

    五、對財政政策在中的作用進行計量檢驗。通過估計模型並計算得到我國稅收收入的自動穩定功能的大小,以及我國財政態勢。利用上述方法,估計模型並計算得到我國各個稅種的自動穩定器作用的大小,結認為我國的增值稅自動穩定功能最強。
  15. Economic periodic fluctuation monitor and early warning index system is built. the standard of classifying the beforehand index, consistent index and delay index is explained. in addition, the method of calculating the diffusion index, the function of the diffusion index and the relation between the diffusion index and gross fluctuation are presented

    文的第二章介紹了作為時差關系參照系的基準循環的確定方法,構造了波動的監測預警指標體系,闡明了先行、同步、滯后指標的劃分標準和擴散指數的編制方法、擴散指數的作用以及擴散指數與總量波動的關系;討了合成指數的編制方法。
  16. But economists have always been tempted to dream up grand theories for trends that are just part of the economic cycle

    但是學家一直都嘗試空想出偉大的理去解釋那些只是部分的趨勢。
  17. On the other hand, begin with the < < the general theory of employment, interest, and money > > in 1936, the modern macroeconomics have experienced several revolutions. began from " keynesian revolution " to the " monetarism revolution " to the " the rational expectations revolution " to the " new keynesian theories " to the " real - business - cycle model ", because there have been so many rival theories and models, it make the famous economist blanchard found it was necessary to release a statement in his macroeconomics textbook : " we truly believed there existed an useful macroeconomics "

    同樣,自1936年凱恩斯的《通》出版標志著現代宏觀學的誕生以來,宏觀歷了跌宕起伏的劇烈變化。從「凱恩斯革命」到「貨幣主義革命」到「理性預革命」到「新凱恩斯主義」到「真實模型」 ,最終到「內生增長模型」 。已存在如此多的彼此競爭的理和模型,以至於著名宏觀學家布蘭查德覺得有必要在其教科書中聲明: 「我們確實相信存在一門有用的宏觀學」 。
  18. Chapter two accounts for the three classical theoretical models of the business cycle, in this chapter, more details are given on the importance of the main economic variables ? investment and saving which can make economy fluctuate accordingly

    第二章主要是對三個典的模型進行了較為詳細的說明和述,這一章較為詳盡的分析了系統中主要的變量,如投資、儲蓄等變量對波動所起的重要作用。
  19. Real business - cycle theorists

    實際
  20. Business cycle theory

    經濟周期論
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