金融市场冲击与经济波动经验分析
发布时间:2019-07-10 17:07
【摘要】:文章运用修正的新古典经济增长模型,建构了区域经济发展的的汉密尔顿模型,并据此给出了区域金融发展、金融市场冲击与区域经济波动的作用逻辑框架;以此为基础,利用经验数据分析了三者之间的动态逻辑关系,并获得了关于区域金融发展、区域市场冲击与区域经济波动的相关结论。
[Abstract]:In this paper, the Hamilton model of regional economic development is constructed by using the modified neoclassical economic growth model, and the logical framework of regional financial development, financial market shock and regional economic fluctuation is given. On this basis, the dynamic logical relationship among the three is analyzed by using empirical data, and the relevant conclusions about regional financial development, regional market shock and regional economic fluctuation are obtained.
【作者单位】: 河南财政税务高等专科学校金融系;
【基金】:河南省科技发展计划软科学研究项目(142400410143)
【分类号】:F832.7;F124.8
,
本文编号:2512772
[Abstract]:In this paper, the Hamilton model of regional economic development is constructed by using the modified neoclassical economic growth model, and the logical framework of regional financial development, financial market shock and regional economic fluctuation is given. On this basis, the dynamic logical relationship among the three is analyzed by using empirical data, and the relevant conclusions about regional financial development, regional market shock and regional economic fluctuation are obtained.
【作者单位】: 河南财政税务高等专科学校金融系;
【基金】:河南省科技发展计划软科学研究项目(142400410143)
【分类号】:F832.7;F124.8
,
本文编号:2512772
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