摘要
本文对1978~2002年期间我国M2/GDP的长期趋势和周期性趋势进行了实证分析和国际比较。我国M2/GDP较高的原因在于:M2的货币乘数和准货币所占比重上升,经济货币化进程深入,融投资体制效率低下,金融体系不发达。并提出相应建议。
China's M2/GDP shows an upward trend in the sample period of 1978~2002, which is relatively high compared to other countries. The high ratio is thought to be mainly due to the rising multiplier of m2, rising ratio of quasi-money/GDP, monetarization, undeveloped financial market and inefficient investment system.
出处
《中国软科学》
CSSCI
北大核心
2004年第2期61-65,60,共6页
China Soft Science
基金
国家自然科学基金和加拿大麦吉尔大学联合资助