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金融摩擦与宏观经济波动:理论与政策分析 经济管理类;专著 VIP

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丛书名:
喻崇武   社会科学文献出版社  2019-10 出版
ISBN:978-7-5201-5681-3

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图书简介 目录 参考文献 音频 视频
本书以专题的形式,结合文献梳理、理论推导与实证研究等方法,在市场不完备、信息不对称以及异质性等假定下,系统地阐述了金融摩擦的微观形成机制,并从资源配置效率与资产价格、杠杆的内生形成与周期过程、金融网络的形成与稳定性、家庭消费与储蓄行为以及国际资本流动等几个方面深入探讨了不同形式的金融摩擦对短期宏观经济波动的影响。这对深化金融体制改革、服务好实体经济、防范系统性金融风险具有重大的理论和现实意义。
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  • 前言
  • 第一章 绪论
    1. 第一节 为什么研究金融摩擦
    2. 第二节 研究范畴、框架与方法
    3. 第三节 主要研究内容
  • 第二章 金融摩擦及其宏观经济效应研究进展
    1. 第一节 金融摩擦的基本内涵
    2. 第二节 从微观到宏观的传递过程
    3. 第三节 金融摩擦的宏观研究
    4. 第四节 国内研究现状
  • 第三章 金融摩擦的微观基础
    1. 第一节 非对称信息
    2. 第二节 异质性
    3. 第三节 金融中介
    4. 第四节 贴息贷款和直接补贴的比较
    5. 第五节 小结与政策建议
  • 第四章 不完备市场、流动性约束与投资效率
    1. 第一节 文献综述
    2. 第二节 模型的基本框架
    3. 第三节 均衡
    4. 第四节 福利与效率
    5. 第五节 与相似文献的比较
    6. 第六节 小结与政策建议
  • 第五章 异质信念、内生杠杆与周期
    1. 第一节 文献综述
    2. 第二节 异质信念与杠杆形成
    3. 第三节 Fostel-Geanakoplos广义不违约定理
    4. 第四节 异质信念、信息与杠杆周期
    5. 第五节 实证相关问题
    6. 第六节 小结与政策建议
  • 第六章 网络结构、金融传染与系统风险
    1. 第一节 文献综述
    2. 第二节 金融网络和传染的基本概念
    3. 第三节 模型的背景
    4. 第四节 网络形成的规范分析
    5. 第五节 网络结构与稳定性
    6. 第六节 小结与政策建议
  • 第七章 流动性约束、居民消费与宏观均衡
    1. 第一节 经典的消费模型及其含义
    2. 第二节 流动性约束下的消费与储蓄行为
    3. 第三节 一般均衡模型中的消费与流动性约束
    4. 第四节 关于流动性约束与消费关系的经验研究
    5. 第五节 小结与政策建议
  • 第八章 金融摩擦与国际资本流动
    1. 第一节 文献综述
    2. 第二节 理论分析
    3. 第三节 计量模型与数据
    4. 第四节 实证研究
    5. 第五节 小结与政策建议
  • 第九章 新时代金融发展的政策建议:以金融摩擦为视角
    1. 第一节 缓解信贷配给,完善信贷市场
    2. 第二节 引导市场预期,控制杠杆率
    3. 第三节 完善金融网络,稳定国际资本流动
  • 第十章 结论、不足与下一步研究的主要方向
    1. 第一节 结论
    2. 第二节 不足与下一步研究的主要方向
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