期刊文献+

货币政策与金融危机的关系研究:理论综述

Study on the Relationship Between Monetary Policy and Financial Crisis: Literature Review
下载PDF
导出
摘要 现有的金融危机理论主要基于四个角度来阐释金融危机,经历了"由强调宏观因素到强调微观因素,再到宏观因素与微观因素并重"的发展过程。货币政策在金融危机理论中的重要性也随着理论的发展和研究视角的不同而有不同的体现。本文对金融危机理论中有关货币政策与金融危机关系的研究进行了系统的梳理总结,并作相应述评。 The current financial crisis theory illustrates the financial crisis mainly from four perspectives, which experiences the development from emphasizing on macro factors to micro factors, and finally to both the macro and mi- cro factors. However, the importance of monetary policy in the financial crisis theory is different as the theory devel- ops and the research perspective changes. This paper makes crisis and monetary policy and makes relevant comments. a literature review on the relationship between the financial
作者 孙雪芬
机构地区 浙江省委党校
出处 《金融发展研究》 2013年第11期14-18,共5页 Journal Of Financial Development Research
基金 全国行政学院科研合作课题(13HZKT125) 浙江省软科学研究计划(2013C35003)的阶段性研究成果
关键词 金融危机 企业负债 理性博弈 信息不对称 货币政策 financial crisis, enterprises' debt, rational game, information asymmetry, monetary policy
  • 相关文献

参考文献4

  • 1Allen,Franklin,Douglas Gale. Bubbles and crises[J].{H}Economic Journal,2000.110.
  • 2Fisher,Irving. The debt-deflation theory of great depressions[J].Journal of the Econometric Society,1933.
  • 3Friedman,Milton,Schwartz,Anna J. A mon-etary history of the United States,1867-1960[M].NBER Books,1963.
  • 4Krugman,Paul. A model of balance of pay-ments crises[J].{H}Journal of Money Credit and Banking,1979.11.

相关作者

内容加载中请稍等...

相关机构

内容加载中请稍等...

相关主题

内容加载中请稍等...

浏览历史

内容加载中请稍等...
;
使用帮助 返回顶部