搶敗Art, Politics, and Commerce in Chinese Cinema省錢買東西

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內容簡介: 博客來網路書局Art, politics, and commerce are intertwined everywhere, but in China the interplay is explicit, intimate, and elemental, and nowhere more so than in the film industry. Understanding this interplay in the era of market reform and globalization is essential to understanding mainland Chinese cinema. This interdisciplinary book provides a comprehensive reappraisal of Chinese cinema, surveying the evolution of film production and consumption in mainland China as a product of shifting relations between art, politics, and commerce. Within these arenas, each of the twelve chapters treats a particular history, development, genre, filmmaker or generation of filmmakers, adding up to a distinctively comprehensive rendering of Chinese cinema. The book illuminates China’s changing state-society relations, the trajectory of marketization and globalization, the effects of China’s stark historical shifts, Hollywood’s role, the role of nationalism, and related themes of interest to scholars of Asian studies, cinema and media studies, political science, sociology, comparative literature and Chinese language. Contributors include Ying Zhu, Stanley Rosen, Seio Nakajima, Zhiwei Xiao, Shujen Wang, Paul Clark, Stephen Teo, John Lent, Ying Xu, Yingjin Zhang, Bruce Robinson, Liyan Qin, and Shuqin Cui.

博客來網路書店作者簡介

Ying Zhu博客來Ying Zhu is professor of cinema studies in the Department of Media Culture and co-coordinator of the Modern China Studies Program at the City University of New York, College of Staten Island.

Stanley Rosen

Stanley Rosen is director of the East Asian Studies Center and a professor of political science at the University of Southern California.
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  • 出版社:香港大學出版社    新功能介紹
  • 出版日期:2010/03/01
  • 語言:英文

搶敗Art, Politics, and Commerce in Chinese Cinema省錢買東西

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內容來自YAHOO新聞

投信:為升息做準備 布局多重資產

(中央社記者田裕斌台北17日電)全球緊盯美國聯準會本周利率決策會議,投信業者建議,投資人應即早調整資產配置,建議以多重資產基金為核心配置,強化資產配置穩定度。

摩根多重收益基金經理人邁可•施厚德(MichaelSchoenhaut)表示,7月中國大陸經濟數據疲弱,嚴重拖累其他新興市場,甚至波及其他周邊國家出口和經濟增長,造成全球金融市場波動震盪,現階段投資信心和氣氛都是相對偏弱。

施厚德指出,根據彭博的聯邦基金利率期貨走向顯示,預期9月升息機率自年初以來一路下滑,最新預期數據已降到32%。

若單獨看待美國,經濟數據堪稱強勁,施厚德認為,美國整體景氣動能仍相對強勁,第2季經濟成長率(GDP)增速已經回升到3.7%,營建、零售與就業數據維持良好,失業率已經來到5.1%的新低水準,甚至核心通膨也已經觸及聯準會設立的區間下緣,聯準會副主席費雪也認為影響通膨下跌的因子將消弭,因此,整體而言,美國聯準會於今年底前升息的機率仍高於5成。

摩根投信副總經理謝瑞妍表示,美國升息議題討論多時,多數投資人對美國升息早有高度共識,只是時間點的問題,不論本月升息與否,都已經明確釋出年底前升息訊號,未來,隨著全球最大不確定性因素退場後,雖可能造成短線波動,但市場可望回歸基本面且築底回升。

面對美國利率政策可能的調整,謝瑞妍建議,現階段投資人應該審視自己的投資組合是否夠多元和分散,並核心布局全球股債和不動產投資信託基金(REITs)這樣多元資產的產品,為整體投資組合增加穩健度;至於積極型投資人,建議適度納入配置歐洲和日本的股票型基金,把握市場反彈契機。1040917

新聞來源https://tw.news.yahoo.com/投信-為升息做準備-布局多重資產-052727444.html

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

搶敗Art, Politics, and Commerce in Chinese Cinema省錢買東西

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