20世纪90年代以来,金融危机更多的是以()形式爆发。
A.经济危机
B.货币危机
C.货币信用危机
D.信用危机
下列属于货币危机产生的原因是()。
A.心理预期带来的投机冲击
B.金融机构危机爆发
C.流动性短缺
D.国内经济结构发展失衡
A.主权债务危机逐渐转变成西方国家财政危机
B.正在蔓延的主权债务危机将影响整个西方世界的经济
C.欧元区的主权债务危机是西方国家爆发财政危机的导火索
D.雅典是欧洲危机的始作俑者
In the EMS before September 1992 the lira/DM exchange rate could fluctuate by up to 2.25 percent up or down.Assume that the lira/DM central parity and band were set in this way and could not be changed.What would have been the maximum possible difference between the interest rates on one-year lira and DM deposits? What would have been the maximum possible difference between the interest rates on six-month lira and DM deposits? On three-month deposits? Do the answers surprise you? Give an intuitive explanation.