在国内外宏观经济剧烈波动的今天,我们如何实现对信用风险的控制是我们长期要思考的问题。
The macroeconomic is volatility both at home and abroad today, and how to control credit risk is the long-term question to think about.
以CGEM为基础,综合运用投入产出分析和最优控制理论,设计出一个二层次的宏观经济管理模型。
Based on CGEM and with the application of input-output analysis and optimistic control theory, a two-level model of macroeconomic management is established.
央行的举动,在控制宏观经济过热的政策意图是显而易见的。
The central bank's move, in the control of macroeconomic overheating policy intention is obvious.
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