凯恩斯的边际分析法为新古典的总生产函数的引进以及资产选择理论提供了逻辑基础。
The neoclassical aggregate production function and the portfolio approach are based on the marginal analysis method that Keynes used.
本文运用比较研究、理论研究和实证研究相结合的方法,对我国家庭金融资产选择行为进行分析。
The article has made a research on choice of household financial portfolio in China, using methods including comparative study, combination of theoretical and empirical research.
阐述了居民金融资产选择的相关理论,并从不同角度出发总结了城镇居民金融资产的估算方法。
This paper describes the related theories on the choice of financial assets, and summarizes the estimation methods of financial assets of urban residents.
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