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1.
本文通过一个宏观计量模型来研究积极财政政策的宏观经济效益。与传统模型所不同的是,我们的模型不仅考虑了需求,同时也引入了社会的供给能力。研究表明,积极财政政策的实施为我国在2003年底彻底走出通货紧缩的阴影作出了不可磨灭的贡献。而到了2002年,积极财政政策的拉动效应开始递减,这为此后逐渐淡出的积极财政政策提供了一定的依据。  相似文献   
2.
基于金融安全的资本流动:理论解读与中国实证   总被引:2,自引:0,他引:2  
基于IS-LM-BP模型阐述了资本流动—经济非均衡的生成机制,揭示了资本流入规模、资本流入结构、外汇储备及经常项目是影响一国资本流动金融安全的主要因素。通过建立资本流动影响金融安全的测算体系,对1996~2005年我国资本流动进行了实证分析,结果表明:(1)中国资本流动状况总体较好,状态界定为安全;(2)资本流入规模正常,但期限结构不够合理;(3)现阶段我国资本流动的安全运行有保障。  相似文献   
3.
刘佑军 《亚太经济》2007,(3):108-112
经济结构呈现非均衡的常态特征。在市场不完全、信息不充分、外生条件不统一等因素的制约下,一国外贸结构形成的资源配置效率通常低于均衡世界里的帕累托最优效率,是一种“次优”均衡;这种非均衡模式可能在受到外在冲击时或通过内生演进的方式发生改变,并通过进出口商品结构、贸易方式结构等表现出来。外贸结构非均衡的核心特征是进出口商品的要素密集度高低,并与比较优势和后发优势联系在一起,成为外贸结构非均衡演进规律的主要内容。  相似文献   
4.
This paper attempts to pin down the key drivers of demand for and supply of real private sector credit in Pakistan. I use both the equilibrium and disequilibrium econometric frameworks, specifically tackling the issue of lack of consistency and/or efficiency of joint estimators in the former via the three‐stage least squares technique. On the demand side, I find that higher economic activity provides stimulus to credit whereas inflation dampens it. The stock market seems to play a dual role: as a source of alternative financing, a bullish market negatively impacts credit while, as an indicator of economic expectations, it provides a positive impetus. On the supply side, banks' lending capacity is found to be the major driver of credit while government borrowing has a crowding‐out effect. Pakistan currently faces supply constraints, which might put an additional check on capacity utilization by firms, thus damaging growth prospects. The results have important policy implications.  相似文献   
5.
A ‘disequilibrium’ between saving and investmentdecisions determines a maladjustment in production, the disruptionof capital, and a downturn in economic activity, according tothe ‘Austrian’ approach. By contrast, the ‘Dynamists’argue that it may lead to economic growth, as disequilibriummay well be instrumental to capital accumulation. What explainsthese different predictions in otherwise similar models? Thekey is in the interplay between the analytical features andthe ideological options underlying each of these approaches:alternative lines of thought, entirely compatible with theiranalytical models, were abandoned by some of these authors whenthey conflicted with their pre-analytical views. This paperillustrates the argument by exploring the models of two ‘fathers’,von Mises and Robertson.  相似文献   
6.
本文对一些学者提出的内外经济失衡的关系进行了考证。结果表明外部经济的失衡虽增强了货币供给的内生性,但并不必定导致内部资产价格的高涨。因此在政策选择上,要避免面对外部经济失衡采取一些应对内部经济失衡的政策工具来调节内部经济增长过快问题。同时,出于在经济发展过程中资产价格时间序列发生结构性变化的考虑,政策制定极有必要考虑资产价格因素。  相似文献   
7.
This paper studies the disequilibrium transition process engaged by increased openness to trade, and the effect of institutions, market behaviors and economic policies on that transition. The issue is analyzed with a simple two country (north and south), two goods model, amended in order to take into account the time dimension of both the production and the decision processes. Investigating the consequences of a tariff decrease by means of numerical simulations, we show to what extent wage and price setting, and the degree of tightness of monetary policy affect the outcome of the disequilibrium process. The main result is that capturing the gains associated with international trade requires market behaviors and economic policies, which are rather different from what is usually prescribed.
Francesco SaracenoEmail:
  相似文献   
8.
技术外部性、工业集聚与地区经济的非均衡增长   总被引:1,自引:0,他引:1  
简泽 《南方经济》2007,(11):37-52
经济增长的空间不平衡和路径依赖特征是近年来中国经济面临的重要问题。基于技术外部性产生的规模报酬递增,这篇文章从理论和经验上分析了技术外部性、工业集聚和地区经济非均衡增长之间的动态相互作用。分析结果表明,在逐渐成长起来的市场力量的作用下,这些因素动态相互作用产生的规模报酬递增延续和放大了地区间不平衡的工业化过程,从而导致了经济增长空间上的不平衡和地区收入差距时间上的持久性和自我增强的特征。  相似文献   
9.
The paper is based on a disequilibrium model which is Keynesian in the ‘short run’, ie with given expectations, but which admits of a continuum of equilibria when expectations are rational. Expectations are adaptive (so that they are rational only in the long run) but can be influenced by an indicative plan. The government and the private sector have differing information sets, each knowing some things the other sector does not (spontaneously) know. It is shown that in this world, an optimal plan dominates a self-fulfilling plan, which in turn dominates a no-planning equilibrium.  相似文献   
10.
Abstract

This article is an in-depth analysis of Backhouse and Boianovsky's book, Transforming Modern Macroeconomics: Exploring Disequilibrium Microfoundations, 1956–2003. I start with questioning Backhouse and Boianovsky's too broad understanding of the disequilibrium approach. Thereby they bring together theories that should be kept separate, those by Patinkin, Clower and Leijonhuvud on the one hand, and those by Barro and Grossman, Drèze and Benassy, on the other. I also substantiate my disagreement with their claim that an inner link exists between fixed price equilibrium theories and imperfect competition modelling. Finally, I put forward a few conjectures about the reason why fixed price modelling petered out.  相似文献   
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