金融危机理论与模型综述

被引:50
作者
朱波
范方志
机构
[1] 中国社会科学院研究生院,浙江师范大学财政金融研究所
关键词
金融危机; 理论; 模型; 综述;
D O I
10.13516/j.cnki.wes.2005.06.005
中图分类号
F830.99 [金融危机];
学科分类号
1201 ; 020204 ;
摘要
金融危机频繁爆发,对世界经济的危害日益严重,这引起了经济学家的广泛关注。本文对金融危机理论与模型进行了系统地梳理,尤其对近年来强调金融系统不稳定性和危机传染性的金融危机理论与模型进行了细致的总结,并提出了金融危机理论与模型可能的发展方向:强调金融危机与经济基础变量之间的联系;强调经济基础变量与投资者预期形式之间的联系。
引用
收藏
页码:28 / 35
页数:8
相关论文
共 7 条
[1]  
Containing Contagious Financial Crises: The Political Economy of Joint Intervention into the Asian Crisis[J] . Kjell Hausken,Thomas Plümper.Public Choice . 2002 (3)
[2]   Financial contagion [J].
Allen, F ;
Gale, D .
JOURNAL OF POLITICAL ECONOMY, 2000, 108 (01) :1-33
[3]  
Rethinking Multiple Equilibria in Macroeconomic Modeling[J] . NBER Macroeconomics Annual . 2000
[4]  
Banking Panics: The Role of the First‐Come, First‐Served Rule and Information Externalities[J] . Yehning Chen.Journal of Political Economy . 1999 (5)
[5]  
Models of currency crises with self-fulfilling features[J] . Maurice Obstfeld.European Economic Review . 1996 (3)
[6]  
‘‘‘‘Financial Crises in Emerging Markets‘‘‘‘ .2 Velasco,A. NBER Research Papers . 1999
[7]  
Deposit insurance,regulatory forbearance and economic groweth:Implications for the Japanese banking crisis .2 Dekle R,Kletzer K. UC Santa Cruz Economics working paper,No.2004-01 . 2004