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What caused the financial crisis? What prolonged it? Why did it worsen so dramatically more than a year after it began? Rarely in economics is there a single answer to such questions, but the empiri...
Existing macroeconomic models account successfully for the immediate effects of a financial crisis on output and employment. I will lay out a simple macro model that captures the most important featur...
Conventional wisdom held that housing prices couldn’t fall. But the spectacular boom and bust of the housing market during the first decade of the twenty-first century and millions of foreclosed homeo...
The global financial crisis, beginning in 2008, took an historic toll on national economies around the world. Following equity market crashes, unemployment rates rose significantly in many countries: ...
This paper provides a novel analysis of the South Korean financial crisis drawing on the findings of a unique survey of IMF/World Bank and South Korean experts. The survey reveals that over-optimism a...
The article presents an analysis of the repercussions of the global financial crisis in terms of financial planning, focusing on the issue of retirement income planning. It is noted that the majority ...
Financial crisis early warning model has important economic research value, and foreign scholars have conducted many researches and achieved many results. For example :Beaver(1966)、Altman(1968)、Ohlson...
Using the eigenvalues and eigenvectors of correlations matrices of some of the main financial market indices in the world, we show that high volatility of markets is directly linked with strong correl...
The effects of the 2008 Financial Crisis continues unabated, and the resulting credit crunch escalated the crisis globally. Both domestic and foreign markets are volatile. The G7 nations continue to...
The financial crisis of 2008, which started with an initially well-defined epicenter focused on mortgage backed securities (MBS), has been cascading into a global economic recession, whose increasing ...
该文主要考察了东亚国家的金融制度安排、公司治理结构和金融危机的相关性。该文认为,在有关金融危机问题的研究中,最重要的思路是把金融制度安排与公司治理结构的关系引入其中。尽管公司治理结构的理论与实践似乎在告诉我们一个事实,股权和债权的相对集中将有利于对管理者的监督及对投资者的保护,然而需强调的是这一利好的事实却依赖于有效的金融制度安排,而绝不是所谓的“政府政策和利益导向型”安排。该文的主要结论是,东亚...

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