不过这两天翻了加尔布雷思的《1929年大崩盘》(the great crash 1929),觉得有必要再去翻翻经济学原理。许多有关利率与供求、资本之间的关系我都搞不清了。
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市场行为的改变(如1987年大崩盘后的状况)或者流动性骤然枯竭(正如本次危机中发生的那样)所带来的风险始终存在。
There is a constant danger that behaviour in the market changes, as it did after the 1987 crash, or that liquidity suddenly dries up, as it has done in this crisis.
最终,1987年股市大崩盘表明,经济与股价并不同步。
In the end, the 1987 collapse suggested, the economy doesn't move in lockstep with stock prices.
首相在华尔街股市大崩盘80周年之际发表了上述谈话,并以播客的形式发布在英国首相官邸网站和YouTube视频网站上。
The prime minister's comments came in a podcast, released on the 10 Downing Street website and YouTube, on the 80th anniversary of the Wall Street crash.
In the 1920s, a lot of bogus stuff was sold -a lot of people were cheated -so after the stock market crash of 1929, it led to a movement for regulation.
在上世纪20年代,很多不合规的股票流入市场,很多人受骗,所以1929年的股市大崩盘,促使政府采取了一系列加强金融监管的行动
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