期刊文献+

中国区域金融发展与经济增长关系研究 被引量:21

下载PDF
导出
摘要 本文运用协整、格兰杰因果检验和向量自回归模型对我国各地区金融发展和经济增长之间关系进行层次递进的分析。
出处 《统计与决策》 CSSCI 北大核心 2007年第12期73-76,共4页 Statistics & Decision
  • 相关文献

参考文献6

二级参考文献24

  • 1希克斯.经济史理论[M].北京:商务印书馆,1987..
  • 2中国人民银行金融研究所一西南财大中国金融研究中心联合课题组.中国金融体系运行效率研究.上证研究,2002,1(1):96-144.
  • 3Bagehot W. Lombard Street: A Description of the Money Market [ M ]. London: Henry, S. King & Co, 1873.
  • 4Beck T, R Levine, N Loayza. Finance and the Sources ofGrowth [ J]. Journal of Financial Economics, 2000, 58: 261 ~ 300.
  • 5Bencivenga V R., B D Smith. Financial Intermediation and Endogenous Growth [ J]. Review of Economic Studies, 1991,58: 195 ~209.
  • 6Benhabib J, M M Spiegel. The Role of Financial Development in Growth and Investment[ J]. Journal of Economic Growth ,2000, 5: 341~360.
  • 7Calder6n, Cesar and Lin Liu. The Direction of Causality between Financial Development and Economic Growth [ Z ]. Working Papers of the Central Bank of Chile, No. 184,2002.
  • 8Dow J, G Gorton. Stock Market Efficiency and Economic Ffficiency: Is there a Connection? [ J ]. Journal of Finance, 1997, 52 ( 3 ):1087 ~ 1129.
  • 9Pagano M. Financial Markets and Growth: An Overview [J]. European Economic Review, 1993, 37:613 ~622.
  • 10Patrick H T. Financial Development and Economic Growth in Underdeveloped Countries [ J]. Economic Development and Cultural Change, 1966, 14(2), 174~189.

共引文献1210

同被引文献138

二级引证文献143

相关作者

内容加载中请稍等...

相关机构

内容加载中请稍等...

相关主题

内容加载中请稍等...

浏览历史

内容加载中请稍等...
;
使用帮助 返回顶部