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.
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.