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金融资产膨胀对经济增长的影响

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摘要 金融资产膨胀是现代社会的一个特征和趋势,金融资产膨胀反映了实物投资机会的相对缺乏和现代社会财富增长的欲望超过消费。金融资产膨胀对经济增长的作用是双向的,既会在一定程度上缓解经济的动态无效性,化解流动性过剩而致的通货膨胀压力,并可能通过信贷渠道促进经济增长。同时金融资产投资可能倾轧实体投资及技术创新,资产价格过快上升容易造成金融危机和经济衰退;政府债务类资产的增加也会使经济系统处于负债增长的依赖。金融资产过快的膨胀不具有可持续性,反而成为经济周期内生化的一个决定因素。
作者 张汉斌
出处 《人文杂志》 CSSCI 北大核心 2010年第2期41-46,共6页 The Journal of Humanities
基金 中国人民大学研究生科学研究基金项目资助(项目名称:资产价格变化与经济增长研究 项目编号:08XNH037)
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参考文献19

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