The first part, theoretic analysis: How to understand the risk of national debt?
第一部分,理论分析:如何理解国债风险。
Over the past 18 months the possibility of national defaults has shattered the idea that all euro-area debt is equally risk-free in a particularly damaging way.
过去的18个月里呈现出的国家违约的可能性以一种特别有杀伤力的方式挫败了所有欧元区债券都是零风险的主张。
What about Yen? National debt ratio of the gross national product is 192% or having greater risk.
日元? 日本的国债对国民生产总值的比率是192%,风险更大。
What about Yen? National debt ratio of the gross national product is 192%, or having greater risk.
日元?日本的国债对国民生产总值的比率是192%,风险更大。
The main studied content concentrates on evaluating of national risk and improving of national debt performance (including macro and micro performance).
国债风险评估和国债绩效(即宏微观绩效)提高是论文的主要研究内容。
The scale of national debt risk mainly depends us the three indexes such rate of dependency, bearing rate and debt paying sate of national debt.
国债风险的大小主要通过国债依存度、国债负担率和国债偿债率三个指标来衡量。
The first part is about analysis on formation causes of national debt credit risk.
第一部分,国债信用风险成因分析。
The credit crunch has introduced toxic debt to the language - debt with a high risk of default - and quantitative easing - the pumping of new money into the national supply by a central bank.
信贷危机中出现的新词有“有毒债务”,指的是信贷违约风险较高的债务;以及“定量宽松”,指的是央行扩大全国货币的供应量。
The credit crunch has introduced toxic debt to the language - debt with a high risk of default - and quantitative easing - the pumping of new money into the national supply by a central bank.
信贷危机中出现的新词有“有毒债务”,指的是信贷违约风险较高的债务;以及“定量宽松”,指的是央行扩大全国货币的供应量。
应用推荐