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金融发展与经济增长:一个理论分析 被引量:1

FINANCIAL DEVELOPMENT AND ECONOMIC GROWTH:A THEORETICAL ANALYSIS
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摘要 本文通过构造一个具有金融发展特征的新古典经济增长模型,从一个新的角度论证了帕特里克关于金融发展与经济增长之间"供给引导"和"需求跟随"双向因果关系的理论. This paper demonstrates patrick's dual causality theory of "supply leading" and "demand following" between financial deveopment and economic growth by constructing a new classic economic growth model with financial developkment characteristic from a new perspective.
作者 申树斌
出处 《经济数学》 2008年第3期294-297,共4页 Journal of Quantitative Economics
关键词 经济增长 金融差异 金融效率 金融规模 Economic growth, financial discrepancy, financial efficiency, financial scale.
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  • 1罗伯特J.巴罗,哈维尔·萨拉伊马丁.经济增长[M].北京:中国社会科学出版社,2000.
  • 2Levine, R. , Zerovs, S. Stock market development and long-run growth[ J]. World Bank Economic Review, 1996,10: 323 - 339.
  • 3Levine,R., Zervos,S. Stock market, bank and economic growth[J].American Economic Review,1998,88:537-558.
  • 4Demirguc-Kunt, A., Levine, R. Stock market development and financial intermediaries: Stylized facts [ J]. World Bank Economic Review, 1996,10:291 - 321.
  • 5Rousseau, P.L., Wachtel, P. Equity markets and growth: Cross-country evidence on timing and outcomes, 1980- 1995 [J]. Journal of banking and Finance, 2000,24:1933 - 1957.

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