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中国金融发展与经济增长"两重均衡"关系的理论与实证分析
引用本文:李洪慈.中国金融发展与经济增长"两重均衡"关系的理论与实证分析[J].东北师大学报(哲学社会科学版),2006(6):83-88.
作者姓名:李洪慈
作者单位:长春市人民政府,金融办公室,吉林,长春,130051
摘    要:笔者首先通过对区域金融发展的阶段性和规模经济性的分析,在理论上证明了区域金融发展与经济增长之间存在“两重均衡”的关系,并构建了理论模型;然后,根据这一理论模型对中国金融发展与经济增长“两重均衡”发展进行轨迹分析;最后对这种“两重均衡”的关系进行了实证检验与分析。

关 键 词:金融发展  经济增长  两重均衡
文章编号:1001-6201(2006)06-0083-06
修稿时间:2006年7月29日

A Theoretic and Empirical Analysis on the Double - Equilibrium Relationship Between Financial Development and Economic Growth in China
LI Hong-ci.A Theoretic and Empirical Analysis on the Double - Equilibrium Relationship Between Financial Development and Economic Growth in China[J].Journal of Northeast Normal University(Social Science),2006(6):83-88.
Authors:LI Hong-ci
Abstract:The multi-equilibrium relationship between financial development and economic growth recently is one of the focuses both in Western and Chinese researches.Based on discussing the characteristics of regional financial development from the phases dimension and scale economy dimension respectively,this study first puts forward a proposition that there maybe a double-equilibrium relationship between financial development and economic growth and constructs a theoretic model about the double-equilibrium relationship.It then analyzes the track of the double-equilibrium relationship between financial development and economic growth in China according to the theoretic model.Finally,It tests empirically the double-equilibrium relationship based on China's context.
Keywords:financial development  economic growth  double-equilibrium relationship
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