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资产价格波动下我国的货币政策框架

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摘要 自20世纪90年代以来,资产价格波动明显加大,对金融稳定及经济运行的影响也显著增加。货币政策是否应该对资产价格波动做出反应?自2007年国际金融危机爆发以来,这个问题的讨论再次成为热点。本文对相关理论进行了归纳,提出了建立和完善更加关注资产价格的货币政策框架的建议。
作者 李培芬
出处 《中国商界》 2010年第4X期21-22,共2页 Business China
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