macroeconomics analysis 中文意思是什麼

macroeconomics analysis 解釋
宏觀經濟分析
  • macroeconomics : n. 〈用作 sing. 〉 大[宏觀]經濟學〈研究經濟體系中起作用的各種因素或經濟部門之間的相互關系〉。
  • analysis : n. (pl. -ses )1. 分解,分析;【數學】解析。2. 梗概,要略。3. 〈美國〉用精神分析法治療(= psychoanalysis)。
  1. Research on positive analysis in multi - sector macroeconomics

    多部門宏觀經濟實證分析研究
  2. According to the analytic frame of macroeconomics, the fiscal resources must be firstly and clearly calculated, which is called meterage analysis

    按照宏觀經濟學的分析框架,首先應將本國財政金融資源先核算清楚,即量化分析。
  3. As a result, on the basement of macroeconomics, regional economics, ethnic economics, ethnic theories and the edge principles, the writer integrates theories with demonstration, macrocosm with microcosm, history with reality perfectly and make use of the comprehensive, comparative and historical research methods and lots of experiential materials to testify the positive financial policy ' s great promotive effect on western region development and try to find an effective way suitable to the western region development through pointing out some structural problems supported by a series of data analysis

    筆者在宏觀經濟學、區域經濟學、民族經濟學和民族問題理論及其邊緣學科的基礎上,運用綜合、交叉、比較、歷史的研究方法以及大量經驗性材料將理論與實證、宏觀與微觀、歷史與現實、東部與西部有機結合起來,用大量數據說明積極財政政策對西部大開發的巨大推動作用,並通過一系列的數據分析指出西部地區經濟發展過程的某些結構性問題,力求找到一條適合西部地區經濟發展的振興之路。
  4. The chapter one and two, as the basis of this dissertation, make out that asian currency will ally anyway, mainly for the reasons from economy, politics, society and on the analysis of related data from asian and wto etc. at the same time, it takes use of the theory on macroeconomics, advocating that the asia break away from the economics control of us and europe and deploys the resource by itself

    論文的第一章和第二章作為論文的基礎部分,從政治、經濟、人文以及宏微觀的角度,並結合來自東盟、 wto組織等相關數據說明亞洲貨幣必將統一。論文在此利用宏觀經濟學有關理論對亞洲貨幣統一的必然性進行了分析,提出擺脫美、歐的經濟控制,獨立進行配置資源。
  5. Argue the ways and methods to bank risk management from the viewpoint of macroeconomics and microeconomics, and employ customer risk analysis model and case study to make this thesis more operative

    最後,以案例形式對商業銀行幾種主要風險的管理進行了分析和概括,提出了防險對策。
  6. Shen, yan associate professor ; ba, peking university, 1997 ; ph. d. in economics, university of south california, 2003. research and teaching : econometrics, macroeconomics, and panel data analysis

    沈艷北京大學中國經濟研究中心副教授。北京大學國際經濟系學士( 1997年) ,美國南加州大學經濟學博士( 2003年) 。研究興趣:理論和實證計量經濟學,微觀金融。
  7. To provide theoretic testimony for deciding the size of treasury bonds, referring to the principia of macroeconomics, the author construct a equilibrium model of treasury bonds, work out the formula for the critical < wp = 5 > proportion of financial deficit to the gdp and for the critical ratio of treasury bonds to gdp, and educe the specific values of the two indexes through the demonstration analysis

    為決定國債規模提供理論上的依據,筆者參照宏觀經濟學的基本理論,構造出一個國債均衡模型,求出了臨界赤字率和臨界國債負擔率的公式,並通過實證分析,得出了我國臨界赤字率和臨界國債負擔率的具體數值。
分享友人