摘要
把固定资产投资、国民收入和资金筹借方式三者引入计量模型,研究各个模型中的两个变量之间的关联和变异程度,分析固定资产投资的合理与否。
Abstract In the article the author studies the level of interrelation or variation between the two variables of each model, analyes the problem whether the investment is rational or not and further makes the investment of fixed assets rationalized by introducing investment of fixed assets, national income and the way to raise funds into measuring models.
出处
《天津商学院学报》
1998年第4期43-45,共3页
Journal of Tianjin University of Commerce