An Analysis on the Rational Deficit Ratio Based on the Government s Debt Risk;
现阶段我国合理赤字率的分析——基于债务风险的分析
On the Deficit of Risk Model Which is Allowed to Invest in Stock Market;
保险联结风险投资模型的赤字问题
Realistic Study on the Scale of Bonds and Deficit;
我国财政赤字与国债规模的现实性思考
The ecological footprint of the Central Areas of China is about 6 times of its bearing capacity,and the high ecological deficit reflects that the extensive economy which consumes a great deal resource and energy is not sustainable.
中部地区生态足迹超出生态承载力近6倍,严重的生态赤字折射出以大量消耗自然资源和能量为代价的粗放型经济增长方式缺乏可持续性。
The result shows that the ecological deficit per capita increased from 0.
研究结果表明,人均生态赤字由1996年的0。
810 903(hm2/cap) and the ecological deficit is 1.
810 490 3 hm2,生态赤字为1。
High financial deficits and current account deficits characterize the development of American economy for many years.
多年来,美国经济发展中的一个重要特征是存在着高额的财政赤字和经常项目赤字。
But there are problems in the scale of financial deficits,benefits,managing principle and employmen t of complete set of other policies.
适度的财政赤字在深化改革、促进经济增长、刺激消费需求、优化经济结构等方面发挥了重要作用,但在赤字规模、使用效益、管理原则以及与其他政策的配套使用方面还存在着不足。
Both theory and practice show that financial deficits of moderate degree can be a effective way to solve the problem of unemployment.
理论与实践均表明,适度规模的财政赤字是解决失业问题的一种有效途径。
Real Effective Exchange Rate,Fiscal Deficit and the Economic Growth in China;
实际有效汇率、财政赤字与中国经济增长
Trade Deficit,Fiscal Deficit and Taxation Policy of the U.S in New Century;
新世纪美国的贸易逆差、财政赤字与税收政策
A Positive Analysis on Crowding-out Effects of Fiscal Deficits;
财政赤字的排挤效应:实证分析
Incomplete Financial Market and International Trade Deficit;
不完全资本市场与国际贸易赤字
A is associated with its trade deficit.
美国制造业就业比重的下降与贸易赤字的扩大并存。
Global economy imbalance is that one country has a huge trade deficit while trade surplus corresponding to such trade deficit is founded in other countries.
全球经济失衡是指一国拥有大量贸易赤字,而与该国贸易赤字相对应的贸易盈余则集中在其他一些国家的经济现象。
In this paper,we pose a new risk model which is more practical than classical model,In this model there are multi-risk at the same time,and the paper strive to get the ruin probability and deficit distribution as well as the surplus immediately before ruin.
构造了一个更加切合实际的风险模型,在这个模型中,允许多个风险类同时存在,打破了经典模型的框架,并得到破产概率,破产时的赤字分布及破产前的最大余额分布。
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