Please use this identifier to cite or link to this item:
http://hdl.handle.net/20.500.11861/9549
DC Field | Value | Language |
---|---|---|
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.accessioned | 2024-04-22T10:31:17Z | - |
dc.date.available | 2024-04-22T10:31:17Z | - |
dc.date.issued | 1998 | - |
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.isbn | 7801274849 | - |
dc.identifier.uri | http://hdl.handle.net/20.500.11861/9549 | - |
dc.language.iso | zh_CN | en_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.type | Book Chapter | en_US |
item.fulltext | No Fulltext | - |
crisitem.author.dept | Department of Economics and Finance | - |
crisitem.author.dept | Department of Economics and Finance | - |
Appears in Collections: | Economics and Finance - Publication |
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