摘要
为应对自1929年大萧条以来最为严重的金融危机,美联储积极配合美国政府的救援计划,采取一系列应对金融危机的非常规措施。随着近期全球经济出现企稳回升迹象,国际社会对非常规政策何时退出问题的讨论日益增多。本文在回顾美联储主席伯南克在危机前有关应对通货紧缩和金融危机的重要学术观点的基础上,对美联储非常规货币政策"退出"的可能方式、时机、顺序等进行分析,并探讨"退出"政策的潜在影响及其启示。
Federal Reserve Bureau (FRB) actively cooperates with American government's rescue plans to cope with the most serious financial crisis since 1929, and take a series of irregular measures. With the stabilizing signs of recovery of global economics, discussions on withdrawal of irregular policy are increasing in the international society. Based on the review of Bernanke's viewpoint on how to deal with currency deflation and financial crisis before financial crisis, this paper analyzes the possible mode, time and order, and discusses the potential influence and enlightenment of withdrawal policy.
出处
《金融理论与实践》
北大核心
2010年第4期24-27,共4页
Financial Theory and Practice
关键词
金融危机
货币政策
退出策略
Financial Crisis
FRB
Monetary Policy
Withdrawal Strategy