1) On approaches to financial stability
探索金融稳定之道
2) finance stability
金融稳定
1.
Application of Fuzzy Comprehensive Evaluation in Appraising Dalian Finance Stability;
模糊综合评价法在大连市金融稳定评价中的应用
2.
It s of great significance to establish deposit insurance system for constantly deepening China s socialist market economy,consummating finance safety net,consolidating the gained achievements of financial regime reformation,setting up market-oriented exit mechanism of financial institutions and maintaining finance stability.
建立存款保险制度对于我国社会主义市场经济的不断深化,完善金融安全网,巩固金融体制改革的已有成果,建立市场化的金融机构退出机制和维护金融稳定有着重要意义。
3.
The author deeply analyses macro and micro factors that influence finance stability in China, exploiting finance weakness theory and combining it with practical situations, so as to further explore some countermeasures for maintaining a sound operation of China’s finance industry.
因此,为了维护我国的金融稳定,应充分发挥人民银行在金融稳定中的主导作用,建立金融稳定评估指标体系,同时,借鉴西方发达国家的经验,建立存款保险制度。
3) financial stability
金融稳定
1.
Financial Opening,Financial Stability and Improvement of Financial Regulation;
金融开放、金融稳定与金融监管改进
2.
The Foundation,Method and Application of Financial Stability Evaluation Theory;
金融稳定性评估理论基础、方法与应用
3.
The Impact of Structural Factors of Banking on Financial Stability;
银行业结构性因素对金融稳定的影响
4) stabilize financial
稳定金融
5) financial stability
金融稳定性
1.
Therefore,in order to effectively guide the local government behavior and increase the financial stability and scientifically management,we should reform the checking system,build th.
为此,必须尽快改革政绩考核制度,创建银行信贷监测系统,提高中央对地方经济相关信息的可获得性,有效地导向地方政府行为,在制度上提高金融稳定性和管理的科学性。
2.
This paper offers a review of literature on influence of credit risk transfer on financial stability.
本文把国际经济学界对于信用风险转移影响金融稳定性的研究整理综述为三类观点:信用风险转移对金融稳定性具有双重影响的研究;从社会成本和机构成本比较视角而认为信用风险转移增强金融稳定性的研究;信用风险转移损害金融稳定性的理论研究。
3.
This paper makes a systematic analysis of the major risk factors,which are weakening the financial stability of East Asian countries.
文章对当前东亚国家金融稳定性所面临的主要风险诱因进行了系统分析。
6) financial instability
金融不稳定
1.
We will establish a VAR model which consists of financial development,capital account liberalization and financial instability.
文章建立一个由金融发展程度、资本账户开放与金融不稳定指标组成的向量自回归(VAR)模型,利用中国1982~2005年的年度数据对这些变量的长期协整关系和短期的调整动力学进行相关的时间序列分析。
2.
This article selects indicators of financial instability from the point of financial function to construct a variable -parameter model on the impact of financial instability,which utilizes state-space model.
本文从金融功能的角度选取了直接影响地区经济的宏观金融不稳定指标,利用状态空间模型构建了宏观金融不稳定对青岛市经济波动影响的变参数模型。
3.
In the context of global financial crisis, it is meaningful to study the effect of different capital account liberalization on financial instability and how to choose the optimal instants of openness implementation.
在国际金融危机的大背景之下,研究不同类型资本账户开放对金融不稳定的影响及如何选择适当的时机实施开放举措是非常有理论创新价值和现实意义的。
补充资料:探索
探寻求索:用志不专,探索不精|我想用无言的话去探索她的心。
说明:补充资料仅用于学习参考,请勿用于其它任何用途。
参考词条