macroeconomic management 中文意思是什麼

macroeconomic management 解釋
宏觀調控
  • macroeconomic : 宏觀經濟;總體經濟
  • management : n. 1. 辦理,處理;管理,經營;經營力,經營手腕。2. 安排;妥善對待。3. 〈the management〉〈集合詞〉(工商企業)管理部門;董事會;廠方,資方。
  1. A network analysis of the means of macroeconomic management

    宏觀經濟管理手段的網路分析
  2. Expounds the five main aspect of risk in national commercial bank, i. e. signal liability structure, bad loan quality, low capital efficiency, imperfect restriction on interior power, thin consciousness on risk avoidance ; summarizes five characters of the bank risks, including risk concentration, moral risk, risks caused by system structure, inequi ty between bank risks and revenues, aggrandizement trend of bank risks ; analysis eight reasons for bank risks, including proprietary ownership voidance, macroeconomic fluctuation, ineffective capita ] buffer mechanism, enterprise reasons. no synchronous fiscal investment and financial reform, incompetence law and regulation enforcement. chapter4 argues the opportunities and challenges of the financial globalization and requirement for bank risk managem ent. chapters suggests the methods for the risk management of national commercial bank

    緊接著在第三章闡述了我國國有商業銀行風險的「五大表現」 ,即負債結構單一、信貸資產質量差、資本充足率低、內部控制機制薄弱、防範風險的意識淡薄;總結了我國國有商業銀行風險的「五大特點」 ,即風險高度集中、風險人為匿藏、風險的體制性、風險與收益嚴重不對稱、風險呈繼續擴大態勢;剖析了我國國有商業銀行風險形成的「八大因素」 ,即金融產權「人格」虛設、宏觀經濟波動、資本金等緩沖機制不健全、財政、投資和金融的體制改革不配套、法律和法規不健全等。
  3. The programmed strategy of qim ' s access to available and steady development is : increasing mining production capacity and economic benefits by booming mine through science and technology to achieve increased capacity of continuous progression ; enhancing the ore reserve storage by excavating the prospecting potency of mineral resource ; magnifying scale beneficial result by enlarging output capacity ; adding products with high additional value by progressing towards futhur processing mineral products ; meanwhile, saving the management risk by developing non - steel industry ; concentrating the main body to increase the benefits by separating the subsidiary from the main one and staffs being laid of ; seeking supports of mining industry economic policy from macroeconomic policy to lighten the burden of our enterprise ; dealing well with the problem of guaranteeing the life of the staff being separated for further steadying circumstance of enterprise and society and perfectly realizing the constant development of qim

    規劃的齊大山鐵礦可持續發展戰略是:通過科技興礦來提高采礦的生產能力和經濟效益,達到可持續發展能力的提高;通過挖掘齊礦礦產資源的勘探潛力來提高后備資源的儲備;通過擴大產量規模來增大規模效益;通過礦產品向深加工方向發展來增加高附加值產品;同時,發展非鋼產業來降低企業的經營風險;通過實施主附分離來精幹主體、減員增效。從宏觀經濟政策上來尋求礦業經濟政策的支持,減輕企業的負擔;為了使企業和社會的環境更加穩定,要解決分流人員的生活保障問題,從而更好的實現齊礦的可持續發展。
  4. The demands of macroeconomic management and the need for balanced growth both suggest the currency regime needs to change

    對宏觀經濟管理的需求以及均衡增長的需要同樣都要求流通體制的改變。
  5. The mode is helpto for encourage the mechanism of water saving and accelerae the combined using of transferred and local water, and it shows the main ideas of national macroeconomic control, quasi - market operation, enterprises management and water user participation

    該模式有助於建立用水戶節水的激勵機制,有助於促進北調水與當地水的聯合利用,是貫徹「國家宏觀調控、準市場運作、企業化經營、用水戶參與」思路的具體體現。
  6. But it suggested the united states might have been kept from the top spot because of its low scores for contractual law and macroeconomic management

    但報告指出,美國最大的弱點就是合同法和宏觀經濟管理,它在這兩項上的得分很低,因此,美國沒能登上排行榜首位。
  7. In foreword, based on the macroeconomic background of the study, a comprehensive overview of theory of authorised management of the state - owned assets has been developed

    國有資產授權經營研究其中正文分為三章闡述:第一章側重於國有資產授權經營概念的導入。
  8. A professor of economics specialising in the areas of macroeconomic theory, econometrics, statistics, management science, and international finance, professor tsang commenced his academic career at the university of alabama at birmingham, us in 1971, and was promoted to full professorship in 1977

    曾教授是位經濟學家,專長總體經濟理論、計量經濟學、統計學、管理科學和國際金融的研究,著作豐富。
  9. Before 1980s, public debt is restricted and prohibited in china. after 1980s, state bonds were resumed and developed. in the middle of 1990s, the role of pubic debt in macroeconomic management have been accept gradually

    上個世紀80年代以前,我國在意識形態上排斥國債,對國債政策採取的也是限制和擯棄的態度。 80年代以後,國債開始恢復與發展, 90年代中後期國債政策的宏觀調控地位逐步確立。
  10. The thesis bases on the asumption that chinese urban residents income distribution gap growth in the institution transition, according to income distribution by labor and production resources altogether and let it be the base of theory analysis, i apply normative and positive economics methods to analysis chinese urban residents income facts systematicaly and hope to set up a theory analysis model that bases on the two distribution means about urban residents income distribution gap under socialist market economy system. my basic methods is : firstly i abstractly analysis the different issues on residents income distribution of per main economics school in different development stages, after i apply institution change theory on analysing different revenue collectivity redivising and reuniting and which introduces different revenue distribution fact : again i research chinese urban residents size income distribution gap by positive analysis, at the same time i propose to discuss the general causes and special causes ; at the end, i have the thought about the theory of urban residents size income distribution in system transition and macroeconomic management policy. under the path, the thesis can be divided into 5 parts

    本文立足於體制過渡時期我國城鎮居民收入分配差距擴大這一假說,以按勞分配和按生產要素分配相結合為分析的理論基礎,運用規范分析和實證分析的方法,對過渡時期我國城鎮居民分配狀況進行了系統和比較深入的分析,希望構建一個在社會主義市場經濟體制下,以兩種分配方式相結合為基礎的有關城鎮居民收入分配差距的一個理論框架。分析的基本思路:首先從理論史的角度對社會經濟不同發展階段各主要經濟學流派關于居民規模收入分配的理論觀點進行概括性評析,然後運用制度變遷理論分析我國體制過渡時期各個利益集團的分化整合所導致的利益分配格局的變化及其特徵表現;然後,再對中國城鎮居民規模收入分配差距進行實證分析,並探討差距形成的一般原因和特殊原因;最後,對我國體制過渡時期城鎮居民規模收入差距和我國的宏觀調控和管理的政策理論提出自己的一些思考和建議。沿著這一思路,將全文分為五個部分進行分析。
  11. The experience of development in decades has proved that the most effective interest rate risk management tool is the interest rate futures. the best carrying body of interest rate futures is bond futures. from the end of bond futures pilot the macroeconomic and financial market environment has been tremendous changes after the development for 10 years, basically has the reopening of the bond futures trading conditions. the introduction of treasury bonds futures is the general trend. interest rate futures have unique function, and its introduction is bound to affect our monetary policy transmission mechanism

    為了利率期貨市場的正常高效運行,更好地發揮疏通我國貨幣政策傳導機制的作用,應該在吸取以往教訓的基礎上,借鑒國際成熟的交易機制和監管體系,通過利率期貨交易形成金融市場的均衡價格和定價機制,促進貨幣市場與債券市場的聯通,穩步推進利率市場化,完善我國的期貨法律法規體系,大力發展機構投資者,加強風險管理,建立一個適合我國國情的利率期貨制度模式。
  12. Based on the relevant knowledge of corporate strategy management and marketing management, relevant external economic environments in the high - grade vehicle - using lubricating oil market, especially about the domestic macroeconomic environment, the relevant industrial environment, the other policies environment and lubricating oil industry environment, is analyzed, business environment that petrochina lubricating oil company may make a strong impact on " kunlun " lubricating oil is expounded briefly, and objective consumers of " kunlun " lubricating oil entering into high - grade vehicle - using lubricating oil market are analyzed in detail

    文章利用企業戰略管理和營銷管理的有關知識,分析了車用高端潤滑油市場的外部相關經濟環境,特別是國內宏觀經濟環境、相關產業環境、其它政策影響以及潤滑油行業市場環境,簡要闡述了中國石油潤滑油公司內部對昆侖潤滑油可能產生重大影響的企業環境,並詳細分析了昆侖潤滑油進入車用高檔油市場的目標消費群體。
  13. Therefore, we push interest rate marketing so that we implement conversion of macroeconomic management from direct mode to indirect mode in grain and bring interest rate into macroeconomic management action really

    因此,推進利率市場化,實現貨幣調控方式由直接向間接的徹底轉變,使利率真正起到宏觀調控的作用。
  14. Macroeconomic management of a theoretical problem

    宏觀經濟管理的一個理論難題
  15. Monetary policy is an important instrument of macroeconomic management of government

    貨幣政策是政府宏觀經濟管理的一項重要手段。
  16. To use money supply ml as medi - target would have not good effect of macroeconomic management of interest rate of marketing in long run

    以貨幣供應量m1為中介目標,長期來看對市場化利率的調控效果不佳。
  17. This achievement rests partly on a virtue not previously associated with russian governments : strict macroeconomic management

    這樣的成就部分緣于俄羅斯政府的功勞,而這點過去鮮有提及:嚴格的宏觀經濟調控。
  18. Even those that serve as role models of macroeconomic management can be tossed around by the tidal waves of international finance

    但即使經濟管理完善,堪稱典範的經濟體系,在遇到國際資金席捲而至的浪潮時,也不免會受到沖擊。
  19. Fifth, the gradual shift from direct to indirect monetary policy i truments has greatly improved tra imi ion of monetary policy and effectivene of macroeconomic management

    第五,貨幣政策工具由直接到間接的逐漸改變,極大地改善了貨幣政策的傳導效果和宏觀經濟管理效率。
  20. Fifth, the gradual shift from direct to indirect monetary policy instruments has greatly improved transimission of monetary policy and effectiveness of macroeconomic management

    第五,貨幣政策工具由直接到間接的逐漸改變,極大地改善了貨幣政策的傳導效果和宏觀經濟管理效率。
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