以价格竞争模型为基础,研究了在产品市场存在不确定性时债务的战略效应。
On the basis of price competition model, the strategic effect of debt under the condition of uncertainty was analyzed.
对于市场竞争风险的控制,本文应用网络外部效应理论探讨风险的控制模型,文章的最后还提到了一些市场风险控制的建议。
Based on the network externality theory, a market competition risk control model was discussed. At the end of this paper, some advices of controlling market risk are given.
通过分析我国的新斯旺模型,本研究发现具有竞争效应小于平衡表效应的特征。
It showed that when we apply this model to China, the competition effect is weaker than the balance sheet channel.
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