资产组合平衡理论
- 网络The Portfolio Balance Approach;Portfolio Balance Theory
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一是使用资产组合平衡理论研究汇率干预的效应,二是根据信号传递理论研究汇率干预的效应。
Recently researchers mainly focus on whether the central bank is an information trader and the influence of intervention on the information structure of the foreign exchange market .
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汇率决定的资产组合平衡模型的理论探讨
The Study on Theory of Exchange Rate Lead to Capital Association Balance Model