摘要
分析了多马公债债务负担模型成立的条件,提出了不同发行模式下公债的合理数量界限,该界限是一个相对于国民收入增长率的数量界限。希望能为合理控制公债发行提供理论基础。
The condition in which Domar’s government loans burden model is tenable is analysed. The reasonable limit of public loans, which is a norm compared with the growth rate of the national income, is put forward under its different issue patterns. And it may provide some theorecical evidence for rationally issuing of government loans.
出处
《重庆大学学报(自然科学版)》
EI
CAS
CSCD
1993年第4期98-103,共6页
Journal of Chongqing University
关键词
财政
公债
债务负担
public finance
government loans
debt burden