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中国的金融发展、经济波动与经济增长:一项基于面板数据的研究 被引量:29

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摘要 本文运用中国分省面板数据(1993年~2005年),检验了中国的金融发展、经济波动和经济增长三者之间的关系。研究发现,随着我国金融系统市场化改革的逐步推进和完善,金融发展可以降低经济增长对外生冲击的敏感性,从而为经济长期稳定增长提供有利的运行环境,防止宏观经济大幅度的波动。此外,回归结果还表明金融发展平抑经济波动的作用,可能是通过优化投资结构得以实现的,而不是投资总量。这一结论为进一步研究投资结构与增长和波动之间的关系提供了经验证据。
作者 王翔 李凌
出处 《上海经济研究》 CSSCI 北大核心 2009年第2期34-43,共10页 Shanghai Journal of Economics
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参考文献17

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