Please use this identifier to cite or link to this item: http://hdl.handle.net/20.500.11861/9549
DC FieldValueLanguage
dc.contributor.author潘志昌博士en_US
dc.contributor.author胡佳賢博士en_US
dc.contributor.author李樹甘博士en_US
dc.date.accessioned2024-04-22T10:31:17Z-
dc.date.available2024-04-22T10:31:17Z-
dc.date.issued1998-
dc.identifier.citation在北京大學國際經濟研究所 (主編). (1998). 金融監管與風險防範 : 國際經濟專家論東亞金融危機 (頁80-91). 經濟日報出版社.en_US
dc.identifier.isbn7801274849-
dc.identifier.urihttp://hdl.handle.net/20.500.11861/9549-
dc.language.isozh_CNen_US
dc.publisher經濟日報出版社en_US
dc.title從長期均衡匯率決定看人民幣及港幣匯率的走勢en_US
dc.typeBook Chapteren_US
item.fulltextNo Fulltext-
crisitem.author.deptDepartment of Economics and Finance-
crisitem.author.deptDepartment of Economics and Finance-
Appears in Collections:Economics and Finance - Publication
Show simple item record

Page view(s)

42
Last Week
0
Last month
checked on Dec 20, 2024

Google ScholarTM

Impact Indices

PlumX

Metrics


Items in DSpace are protected by copyright, with all rights reserved, unless otherwise indicated.