现行经济理论和模型能否适用于经济和金融全球化浪潮汹涌澎湃的现实?
The existing economic theories and models can be applied to the economic and financial globalization, the surging wave of reality?
在不到三十年的时间里,它已经改变了经济理论的课程和金融实践。
In less than thirty years it has changed the course of economic theory and financial practice.
接着本章分析了金融集团存在的经济理论基础:规模经济、范围经济、协同效应和分散风险四个方面。
Then, this chapter analyses economic theoretical foundations in the existence of the financial conglomerates: large-scale production, range economy, coordination effect and risk dispersion.
本文以宏观经济理论和国际金融为理论指导,以一种新的测算方法来计算人民币均衡汇率。
Based on the theory of macro-economic and international finance, this thesis applied a new method to measure the equilibrium exchange rate of RMB.
第一章,主要分析了金融业混业经营的两大理论基础——规模经济理论和范围经济理论。
Chapter 1 analyses two theoretical basis of the mixed financial industry system — scale-economy and scope-economy theories.
主要研究方向及特色:目前研究兴趣:商业银行经济理论与信用风险管理、公司金融、行为金融、保险经济学、合约理论。
Current Research Interests: economics and credit risk management of banking, corporate finance theory, behavioral finance, economics of risk and insurance, contract theory.
主要研究方向及特色:目前研究兴趣:商业银行经济理论与信用风险管理、公司金融、行为金融、保险经济学、合约理论。
Current Research Interests: economics and credit risk management of banking, corporate finance theory, behavioral finance, economics of risk and insurance, contract theory.
应用推荐