摘要
本文采用世界银行提供的各国发展数据,通过对人民币偏差系数的分析,建立了人民币汇率的预测模型,并预测了二十一世纪初的人民币汇率。提出了在人民币强势时期,我国企业应如何抓住机遇发展的对策。
This article adopts the data of development of different countries provided by the world Bank. It attempts to set up a model for predicting the fluctuation of the Chinese currency through the analysis of coefficient of deviation of the Chinese currency. It also tries to predict the possible exchange rates of the Chinese currency in the 21st century and brings about some suggestions on the reconstruction of Chinese enterprises during the period when the Chinese currency is strong.
出处
《哈尔滨商业大学学报(社会科学版)》
2002年第3期43-46,共4页
Journal of Harbin University of Commerce:Social Science Edition
关键词
人民币汇率
偏差系数
资金缺口
国外投资
rate of the Chinese currency
cofficient of deviation
lack of fund
overseas investment