• Since the 1990s, exchange crisis in varying degrees has taken place in a lot of countries.

    90年代以来很多国家发生不同程度外汇危机

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  • There has been four kinds of main early warning models of exchange crisis at present, namely "signal" approach, probit model, cross-county regression model and subjective probability method.

    目前已经出现了主要外汇危机预警模型信号方法概率单位方法截面回归方法以及主观概率法。

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  • The currency crisis manifests itself, however, in the exchange rate to the Swiss franc or the price of gold.

    然而货币危机表现瑞士法郎或是黄金价格交换上。

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  • China is not at risk of an Italian-type crisis (or a Greek type) because it doesn't have foreign debt and it has exchange controls. So that's not going to happen.

    中国不会出现意大利式危机(或是希腊式危机),因为没有外债同时实行汇率控制所以这样的一幕不会上演。

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  • But we took the same policy as we did in the Asian financial crisis, we decided to stabilise the exchange rate.

    但是我们保持政策的稳定性,我们亚洲金融危机期间所那样。

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  • The last type of inflation, foreign exchange inflation, is particularly scary to me, someone who lived in Mexico before and during the peso crisis in 1994.

    最后通货膨胀是外汇通货膨胀,这个,1994年比索危机之前期间都曾经墨西哥居住,听起来非常可怕。

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  • By itself, no country or currency zone could escape the maelstrom of such a crisis, as all countries are interconnected via their exchange rates.

    所有国家货币区被迫卷入这个危机漩涡中。汇率将所有这些国家一起,以致人能幸免于难。

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  • This imbalance, whereby foreigners sell their goods to America in exchange for its assets, was one potential cause of the country's financial crisis.

    外国人通过此类失衡来出售货物美国换取美国资产,这也是美国金融危机潜在原因之一

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  • The exchange rate has been volatile due to the fluctuations in oil prices and growing uncertainty as a result of higher risk aversion associated with the debt crisis in Europe.

    由于原油价格波动欧洲债务危机相关风险规避力度增大导致不确定性不断增强汇率一直呈现不稳定态势。

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  • Gold's surge may indicate that investors fear the next stage of the crisis will occur in the foreign-exchange markets.

    黄金升值表示投资者害怕一轮发生外汇交易市场危机

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  • Healthy foreign exchange reserves, low inflation, and a small external debt are all strengths that make it unlikely that Malaysia will experience a financial crisis similar to the one in 1997.

    健康外汇储备低度通货膨胀不多外债强有力的条件使马来西亚应该不会再遭受1997年那样经济危机

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  • When I went to the bank, I was told they had no cash for foreign exchange because of the financial crisis,” said Zione Kamsinde, a woman entrepreneur in Malawi.

    银行换汇,工作人员对我由于金融危机,银行没有外汇现金,”马拉维企业主ZioneKamsinde

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  • Those, changing of rate and exchange rate, credit crisis and improper source of funds, are factors which cause bank financing risks.

    利率汇率变动信用危机资金来源不当造成银行筹资风险因素

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  • I am delighted to join you, representatives of the Asia-Pacific business community, here in Singapore for an exchange of views on "Rebuilding the Global Economy: Crisis and Opportunity".

    非常高兴亚太工商界朋友们相聚新加坡,围绕“重建世界经济危机机遇主题交换看法

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  • The currency crisis happened frequently in the 90s of the 20th century made the exchange rate regime to be faced with fine-tuning and even transition in many countries.

    20世纪90年代后,新兴市场频繁发生货币危机使得许多国家汇率制度面临微调、修正、变迁甚至重新选择境地。

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  • The continued dispute on the RMB exchange rate may well be the saddest tragedy of economic policy making in the post-crisis world.

    在后危机的世界上,对于制定政策来说,关于人民币汇率持续争议可能糟糕悲剧。

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  • Switzerland is moving to protect its exporters hurt by Europe's financial crisis, putting a cap on the franc's exchange rate against the euro.

    瑞士采取行动保护遭受欧洲金融危机损害出口商。瑞士为瑞士法郎欧元汇率设定了上限

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  • Then, banks only have limited rationality, bank impersonal exchange has institutional defects, and financial crisis is inevitable.

    所以银行具有有限理性银行人情式交易存在制度性缺陷金融危机不可避免。

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  • Chapter three of the thesis begins to analysis the system of exchange rate and relation of the monetary crisis.

    论文第三开始分析汇率制度货币危机的关系

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  • Faced with the shocks of the Asian financial crisis, China has committed to non-devaluation of the RMB exchange rate.

    面对亚洲金融危机冲击中国一直保持人民币汇率不贬值。

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  • We can also see that the correlation between country exchange rates tend to increase during the financial crisis, and the currency risk contagion effect is significant.

    本文构建多元波动模型结果显示,两汇率之间的相关性金融危机期间倾向增加,存在显著的汇率风险传染效应。

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  • We can also see that the correlation between country exchange rates tend to increase during the financial crisis, and the currency risk contagion effect is significant.

    本文构建多元波动模型结果显示,两汇率之间的相关性金融危机期间倾向增加,存在显著的汇率风险传染效应。

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