通货膨胀预期陷阱理论探析
发布时间:2019-05-19 15:35
【摘要】:文章在货币政策时间非一致性的视角下,借鉴国内外现有研究成果,依据央行的目标效用函数和卢卡斯总供给函数等经典模型,运用均衡与非均衡分析方法,对通货膨胀预期陷阱的基本范畴、理论模型、生成机理等问题作了理论探析,对于认识与防范我国的通货膨胀预期陷阱具有一定的理论与现实意义。
[Abstract]:In this paper, from the perspective of time inconsistency of monetary policy, drawing lessons from the existing research results at home and abroad, according to the classical models such as the objective utility function of the central bank and the total supply function of Lucas, the equilibrium and disequilibrium analysis methods are used. This paper makes a theoretical analysis on the basic category, theoretical model and generation mechanism of inflation expectation trap, which has certain theoretical and practical significance for understanding and preventing inflation expectation trap in our country.
【作者单位】: 广东商学院金融学院;
【基金】:2010年度教育部人文社科项目(10YJA790079)
【分类号】:F822.5;F224
本文编号:2480840
[Abstract]:In this paper, from the perspective of time inconsistency of monetary policy, drawing lessons from the existing research results at home and abroad, according to the classical models such as the objective utility function of the central bank and the total supply function of Lucas, the equilibrium and disequilibrium analysis methods are used. This paper makes a theoretical analysis on the basic category, theoretical model and generation mechanism of inflation expectation trap, which has certain theoretical and practical significance for understanding and preventing inflation expectation trap in our country.
【作者单位】: 广东商学院金融学院;
【基金】:2010年度教育部人文社科项目(10YJA790079)
【分类号】:F822.5;F224
【共引文献】
相关硕士学位论文 前1条
1 马艳锋;货币政策传导的博弈研究[D];西北师范大学;2007年
【二级参考文献】
相关期刊论文 前2条
1 谢平,罗雄;泰勒规则及其在中国货币政策中的检验[J];经济研究;2002年03期
2 刘斌;最优简单货币政策规则在我国应用的可行性[J];金融研究;2003年09期
,本文编号:2480840
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