The risk of national debts can be summed up into quantity risk, financial risk and functional risk.
国债风险可归纳为数量风险、金融风险和使用风险。
By using GM (1, 1) model and linking it with examples, an analysis on the forecast control of quantity risk has been made.
并运用GM(1,1)模型,结合实例对存量风险的超前控制进行了分析。
The risk, as far as the operation process is concerned, can be catalogued: the quantity risk, the financial risk and the utilization risk.
依据运作过程,国债风险可归纳为:数量风险、金融风险和使用风险。
应用推荐