“新共识”货币政策框架的形成、内涵和实践原则:基于中国视角的批判

被引:3
作者
范志勇
杨丹丹
机构
[1] 中国人民大学经济学院
关键词
“新共识”理论; 货币政策; 货币工具;
D O I
暂无
中图分类号
F822.0 [方针政策及其阐述];
学科分类号
摘要
金融危机之后,西方国家对其采用了近20年的"新共识"货币政策体系进行了深入反思。本文详细梳理了"新共识"货币政策框架形成的时代背景、理论基础和货币政策执行原则,着重总结了该货币政策框架在反通货膨胀等方面积累的成功经验以及忽视金融市场等导致的后果。在结合目前中国货币政策体系改革现状的基础上,本文还讨论了如何科学借鉴"新共识"货币政策理论经验和教训的问题。
引用
收藏
页码:44 / 53
页数:10
相关论文
共 35 条
[1]  
Agency Costs, NetWorth, and Business Fluctuations:A Computable General Equilibrium Analysis. Carlstrom, G,T. S. Fuerst. The American Economist . 1997
[2]  
Monetary mystique: Secrecy and central banking. Marvin Goodfriend. Journal of Monetary Economics . 1986
[3]  
The science of monetary policy: a new Keynesian perspective. Clarida R,Gali J,Gerher M. Journal of Econometrics . 1999
[4]  
The optimal degree of commitment to an intermediate monetary target. Rogoff Kenneth. Quarterly Journal . 1985
[5]  
Rational expectations, the optimal monetary instrument, and the optimal money supply rule. Sargent Thomas J,Wallace Neil. Journal of Political Economy, The . 1975
[6]  
Staggered Prices in a Utility-Maximizing Framework. Calvo,Guillermo A. Journal of Monetary Economics . 1983
[7]  
Monopolistic Competition and the Effects of Aggregate Demand. Blanchard,OJ,Kiyotaki,N. The American Economist . 1987
[8]  
Stabilization policy ten years after. Tobin J. Brookings Papers on Economic Activity . 1980
[9]  
Time to Build and Aggregate Fluctuations. Kydland F E,Prescott E C. Ecoamericas . 1982
[10]  
Discretion Versus Policy Rules in Practice. Taylor John B. Carnegie-Rochester Conference Series On Public Policy . 1993