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区域金融发展与经济增长关系的实证研究
引用本文:张兵,胡俊伟. 区域金融发展与经济增长关系的实证研究[J]. 南京农业大学学报(社会科学版), 2003, 3(2): 71-75
作者姓名:张兵  胡俊伟
作者单位:南京农业大学,经济与贸易学院,江苏,南京,210095
摘    要:金融发展与经济增长的关系是经济学的一个重要研究领域。以江苏省为例 ,运用金融发展的两个指标即货币化程度 (M2 /GDP)和证券化程度 (S/GDP)对金融发展与经济增长的关系进行实证检验 ,得出江苏省的货币化程度与经济增长呈负相关关系 ,证券化程度与经济增长呈正相关关系的结论 ,并对检验结果进行分析。江苏省在今后的金融深化过程中 ,要在提高金融中介对资源的配置效率、促进证券市场发展等方面努力。

关 键 词:金融发展  货币化程度  证券化程度  经济增长
文章编号:1671-7465(2003)02-0071-05
修稿时间:2003-01-20

A regional empirical analysis of financial development and economic growth
ZHANG Bing,HU Jun-wei. A regional empirical analysis of financial development and economic growth[J]. Journal of Nanjing Agricultural University(Social Science Edition), 2003, 3(2): 71-75
Authors:ZHANG Bing  HU Jun-wei
Abstract:The relationship between financial development and economic growth has been focused on as an important field in the economic investigations. The relationship between financial development and economic growth is verified with empirical demonstrative approaches by means of three indexes (M 2/GDP, S/GDP and RGDP) with the result showing a negative correlation between M 2/GDP and RGDP and a positive correlation between S/GDP and RGDP. The result is interpreted and analyzed. It is suggested that measures should be taken to raise the financial medium allocation efficiency in Jiangsu Province.
Keywords:financial development M 2/GDP  S/GDP  economic growth
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