宏观经济模型 meaning in English
macroeconomic model
Examples
- In china , most of related research follow the model of goldsmith ( 1969 ) , focusing on the relationship between financial structure and economic growth , while there are only occasional papers that intuitively recognize the role of financial structure in the process of monetary transmission mechanism , but it lacks basically a systematic analysis to follow the models of gurley and shaw ( 1960 ) , bernanke ( 1995 ) , dornbusch et al ( 1998 ) , cecchetti and krause ( 2001 ) , focusing on the modern views of the monetary transmission mechanism , which assign a central role to financial structure
在金融结构意义上把握货币传导机制,是融合宏观经济学和金融学的一个重要领域,也为构架刻划金融市场的宏观经济模型、评价货币政策传导效率提供了理论基础,因此具有较高的学术价值。在金融结构意义上理解货币传导机制,意味着在选择和实施货币政策的工具和规则时,需要根据相应的金融结构及其与货币传导机制的关系进行,需要注意货币政策对不同金融结构的地区、部门和行业的不对称性影响。 - But these mathematical models can only delineate the outline on the whole which presents real economy . at the same time , micro - economy is the foundation of macro - economy ; while macro - economy restricts and influences micro - economy . the model that the traditional analysis on macro - economy generally adopts is the total amount analysis or the typical individual analysis
传统的宏观经济模型以及研究方法在面对主体有限理性与经济进化性的现实上存在诸多缺陷,基于主体的宏观经济微观模拟模型是研究复杂适应性系统的有效工具,具有明显改善宏观经济分析和政策评估的潜力,可以作为传统的宏观经济模型的有益补充。 - At last , this paper combines the reasonable distribution of water resources with social economy development and ecology environment protection . from the angle of system analysis , the multi - objective analysis model , macroeconomy model , optimization and simulation water system model are presented . macroeconomy water resource system is optimized and simulated from different time with methods of combining optimization with simulation technology and quantitative with qualitative analysis
最后将水资源合理配置、社会经济发展、生态环境保护紧密结合起来,从系统分析的角度出发,建立了王益区水资源合理配置多目标分析模型、宏观经济模型和水资源系统优化模拟模型,用优化与模拟技术相结合、定量与定性分析相结合的方法,从不同时间层次上对宏观经济、水资源系统进行了优化和模拟。 - The text uses the macroeconomic model to analyze the measurement mechanism of the financial risk datum point level . it describes the basic mechanism that the loss factor conducting with the whole macroeconomic environment in the financial system in detail at the same time . and it analyzed the original cause of the condition that transforms each other briefly and the basic theory of fiscal crisis
在这些分析的基础上本文把风险管理理论系统地引入财政风险研究中来,分析了财政风险过程的基本特征,阐发了财政风险转化条件、基准点等概念,运用宏观经济模型构建了财政风险基准点水平的衡量机制,详细描绘了损失因素在财政系统内部和整个宏观经济环境中传导的基本机理,并简要分析了财政危机的成因、发生条件和向其他领域危机相互转化的条件。