macroeconomic 中文意思是什麼

音標 [-mik]
macroeconomic 解釋
宏觀經濟;總體經濟
  1. Interference with direct investment to improve the balance of payments is clearly a second-best policy. the best attack is through macroeconomic tools.

    干預直接投資以求改善收支平衡顯然是一種次佳政策,最佳之著乃是運用宏觀經濟工具。
  2. Referring to birr model, the paper develops a macroeconomic factors model in china ' s stock market

    摘要本文以birr模型為參照,篩選出適用於中國股市的宏觀因子套利定價模型中的宏觀風險因子。
  3. The success of the nordics is based on their " very healthy macroeconomic environments and public institutions that are highly and efficient, " said augusto lopez - claros, chief economist and director of the geneva - based institute ' s global competitiveness program

    北歐國家在競爭力排行榜上的成功基於「非常健康的宏觀經濟環境,高度透明和高效的公共機構, 」日內瓦全球競爭力調查項目機構主任和首席經濟學家奧古斯托洛佩斯克拉羅斯說。
  4. Macroeconomic consequences of population ageing in china : a computable general equilibrium analysis

    局部要素稅稅負分佈的可計算一般均衡研究
  5. Without wishing to stimulate another round of emotive rebuttals from the minority few who dogmatically favour floating exchange rates, let me point out further that hong kong pursues a fixed exchange rate policy that is realistically supported by other prudent macroeconomic policies

    我不想再惹起少數堅持主張浮動匯率人士新一輪的激辯,但請容許我再指出香港固定匯率政策的穩定性,是得到其他審慎的宏觀經濟政策的實際支持。
  6. If we carry out the reform hastily, it will lead to the deficit of national enterprises, bankruptcy of finical corporations and the failure of macroeconomic policy

    盡管任務非常迫切,但是在目前的情況下貿然進行激進的利率市場化改革,可能引發國有企業虧損、銀行倒閉、宏觀調控失靈等風險。
  7. For example, robert gorton ( 1970, 1975, 1978 ) estimated the american phillips curves under this assumption. due to the uncertainty of the estimates of phillips curves, the issue whether or not phillips curves can provide guidance for macroeconomic policy makers is now being argued

    在這一章里,確定了通貨膨脹率序列的單位根過程,估計了通貨膨脹壓力的門限自回歸方程,證實了價格調整非對稱的存在,同時也證明了中國菲利普斯曲線的非對稱。
  8. That ignominious experience led the tories to adopt inflation targeting, which has transformed britain ' s macroeconomic performance

    這段不光彩的經歷使得保守黨採取了設定通脹目標的方法,這讓英國宏觀經濟表現得以改觀。
  9. Then, the paper compares the characteristics of pegged exchange rate regime, free float exchange rate regime, and the regimes intervenient from the aspect of trading, policies, economic development, etc. the paper studies the effects of exchange rate regimes on macroeconomic in the different de jure and de facto classifications of regimes ; analyses factors affecting the selection of exchange rate regimes, and emphasizes on the capital mobility factor

    文章概括了匯率制度研究的不同視角並以此為基礎選定了本文的研究角度,然後從貿易、政策、經濟發展等角度比較了固定匯率制度和浮動匯率制度的特點,並對介於兩者之間的各種匯率制度的特徵進行了比較。接著,從匯率制度名義分類法和事實分類法等角度研究了各種匯率制度對經濟績效的影響。
  10. A network analysis of the means of macroeconomic management

    宏觀經濟管理手段的網路分析
  11. The imf was hoping to reinvent itself as the overseer of this grand macroeconomic bargain

    Imf曾期待將自己重新定位為這盛大宏觀經濟談判的監管人。
  12. The chinese economy has successfully made a “ softlanding ”, a result of macroeconomic control

    中國經濟成功地進行了「軟著陸」 ,這是宏觀調控的結果。
  13. First, the author draws lessons from the international experiences, and points out that to carry out the interest rate marketization, it must have thereinafter conditions : ( 1 ) the foundation of the microeconomic is sound ; ( 2 ) the environment of macroeconomic is stability ; ( 3 ) the market system is sound

    借鑒國際經驗,指出在實行利率市場化時必須具備的條件包括: ( 1 )健全的微觀基礎; ( 2 )穩定的宏觀經濟環境; ( 3 )較完善的市場制度。
  14. Irreasonable tcchnical inspection and quarantine barriers has led to two main questions : macroeconomic constraints on the growth of china ' s export trade, is not conducive to the establishment of one of the troika to expand exports to stimulate domestic economic development strategies ; on the part of micro - enterprises in foreign trade was hard hit

    國外不合理檢驗檢驗制度宏觀上制約了我國出口貿易的增長,不利於我國建立以三架馬車之一的擴大外貿出口以帶動國內經濟的發展戰略;微觀上則使一部分外貿企業進出口受到很大的打擊。
  15. 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。
  16. Part two : is analysis of the characteristics, generation mechanism of business cycle fluctuation of real estate industry and its relationship with the macroeconomic of our country

    2分析我國房地產經濟周期波動特點、生成機理以及與宏觀經濟周期波動的相互關系。
  17. 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,得到結論是,中國的金融壓抑和信貸配給再加上政府對銀行經營活動的控制,造成了違約率循環和經濟周期波動項之間的同向關系。
  18. 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經濟周期波動的生成機理等基本理論性問題,探討了我國房地產經濟周期波動的特徵及其與宏觀經濟周期的相互關系,提出了當前我國經濟轉軌時期,政策周期波動是房地產經濟周期波動的根本原因觀點,同時提出了應對周期波動的房地產業發展政策建議,這些不但是對經濟周期理論的創新,而且更是房地產經濟周期波動理論的擴展。
  19. How does macroeconomic news impact stock returns in china stock market

    宏觀信息對中國股票收益的影響
  20. The risk of eci is irregularity, therefore, the assessment of country risk is of particular importance significance, which relating directly to pivotal technique establishment of premium rate, risk controlling, etc., determine the sound development of the cause of eci as well as being taken continuously deal in, and promoting national implementation of macroeconomic policies

    出口信用保險的風險具有不規律性,因而國家風險評價具有特別重要的意義,它直接關繫到出口信用保險費率釐定、風險控制等關鍵技術性環節的制定;決定了出口信用保險事業的健康發展和持續化經營;促進了國家宏觀經濟政策的貫徹實施。
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