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货币一般均衡模型及其发展 被引量:4

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摘要 早期的货币理论一直在宏观背景下研究货币运行 ,存在严重的武断性。从 2 0世纪 70年代开始 ,宏观经济研究日趋注重微观层面的经济基础。通过解决代表人的跨期最大化问题 ,将货币纳入一般均衡的研究框架 ,成为货币理论发展的新方向。各类货币一般均衡模型分别从货币效用 ,现金约束和交易成本等角度解释了个体持币动机和整体货币运行。结合各类模型的优点形成一套解释我国实际经济运行的货币理论是一项十分有益的探索。
作者 许翼
出处 《经济评论》 CSSCI 北大核心 2003年第1期95-100,共6页 Economic Review
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参考文献31

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二级参考文献52

  • 1米什金.《货币金融学》[M].中国人民大学出版社,2000..
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