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金融稳定视角下财政政策、双支柱调控框架协同配合研究

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摘要 2008年国际金融危机之后,如何构建维护金融稳定的宏观政策框架成为各国学者与监管当局研究的热点问题,他们的研究方向主要集中在两个方面:一是从货币政策本身入手,试图以单一货币政策同时兼顾“物价稳定”“金融稳定”“经济增长”三大职责;二是将“金融稳定”分配给宏观审慎政策,货币政策依旧关注传统的“物价稳定”与“经济增长”。然而,本文通过文献梳理与分析中国金融风险隐患的成因,进而提出了新的观点:必须将财政政策纳入维护金融稳定的宏观调控框架。
作者 张运
出处 《市场周刊》 2019年第8期89-90,共2页 Market Weekly
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