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金融摩擦、金融中介与金融危机:研究前沿
Authors
王磊
Publication date
18 July 2014
Publisher
Abstract
本文综述了金融危机理论的最新进展。主张“错在市场“的金融危机理论认为,为降低金融摩擦金融中介出现,金融中介又因而天生具备脆弱性,遇到大的负向外生冲击,金融危机发生。主张“错在政府“的金融危机理论认为,是政府错误的货币政策,使得金融中介信用扩张过度,从而引发金融危机。不同的金融危机模型因此给出了不同的政策建议。总的来看,目前的金融危机理论模型还非常初级。结合中国的国情,本文提出了进一步研究的方向
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Last time updated on 16/06/2016