minsky 中文意思是什麼

minsky 解釋
明斯基
  1. 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

    銀行脆弱性問題在經濟史家和制度學派的著作中多有論及,馬克思、馬歇爾、凱恩斯等經典經濟學家主要從經濟周期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經濟危機的結果;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;博弈論和信息經濟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。
  2. Minsky inherited keynes ' s thinking and assimilated schumpeter ' s credit view of money

    明斯基繼承了凱恩斯的思想,同時吸收了熊彼特關于貨幣信用的觀點。
  3. You look like you just stepped off the runway at minsky ' s

    你看起來就像剛離開minsky的河道
  4. The fragility in traditional credit market is expounded through minsky ' s " financial fragility hypothesis " -, kregeps " margins of safety " doctrine and imperfect information

    諸多學者對金融脆弱性的研究主要可分為傳統信貸市場上的脆弱性和金融市場上的脆弱性。
  5. Fisher put forward the over - indebtedness and deflation theory to analyze the instability of the financial system while minsky carried out his analysis from the economic cycle angle

    費雪從負債過度和通貨緊縮的角度、明斯基等學者從經濟周期的角度分析了金融系統的內在不穩定性。
  6. At beginning of chapter one, since there is no generally accepted definition of financial stability, i give my definition of financial stability as the stable functioning of the intermediaries and markets that make up the financial system, and it is quite different from monetary stability, bank soundness, financial crisis and the same etc. the classical economics such as " debt - liquidation theory " by irving fisher and " financial instability hypothesis " by hyman minsky does not provide rich set of paradigms for analyzing the nature and consequences of financial instability

    金融穩定是金融機構的穩健經營和資產市場的平穩運行。它與貨幣穩定、銀行穩定、金融危機等相關概念有著很大區別,不能夠混為一談。傳統經濟學對金融穩定的理論闡述主要有irvingfisher ( 1933 )的債務?緊縮理論和hymanminsky ( 1972 , 1985 , 1991 )的金融不穩定假說等。
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