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基于美国和日本实践(特别是计税依据和方法)的基础上,穿插简明的图表,同时借用混沌模糊学科,浅谈金融业的自平衡与自适应过程,并提出对策建议。
Based on the practice of the United States and Japan (especially tax basis and method), the article sketches concise charts and borrows chaos fuzzy subjects to discuss the process of self-balancing and self-adaptation in financial industry and puts forward countermeasures and suggestions.