摘要
运用面板数据分析方法,研究了浙江省固定资产投资与经济增长关系间的地区差异和产业差异.通过对2005年至2010年的全省11个地区的三大产业固定资产投资和GDP的年度面板数据进行了分析,建立了包含11个地区的面板数据总体模型;并且将全省分为浙东北和浙西南两大区域,分别进行面板数据分析与建模.根据所建立的模型,我们得出了全省平均而言的三大产业的固定资产投资弹性系数,以及浙东北和浙西南两个地区的第二、三产业中的固定资产投资弹性系数.
In this paper, the regional difference and the industrial difference of the relationships between fixed assets investment and economic growth in Zhejiang province are studied with the panel data analysis method. The annual panel data of GDP and fixed assets investments in the three main industries in the 11 regions of Zhejiang province during 2005-2010 are analyzed and the panel data overall models including 11 regions are established. Furthermore, the panel data for the southwest region and northeast region in Zhejiang province are analyzed and modeled respectively. According to the models, the elastic coefficients of the average fixed assets investment in the three main industries in Zhejiang province are obtained . Meanwhile, the elastic coefficients of the fixed assets investments of the second and third-industries in the southwest and northeast region in Zhejiang province are obtained respectively.
出处
《浙江工业大学学报》
CAS
2012年第6期695-698,共4页
Journal of Zhejiang University of Technology
基金
浙江省教育厅资助项目(Y200803360
Y201121764)
关键词
面板数据模型
固定资产投资
投资结构
投资弹性
panel date model
fixed assets investment
investment structure
investment elastic