政策选择对金融危机后股市恢复的影响研究:基于生存分析方法

被引:2
作者
靳玉英
罗明津
机构
[1] 上海财经大学国际工商管理学院
关键词
金融危机; 股市恢复; 资本账户开放; 汇率制度;
D O I
10.19337/j.cnki.34-1093/f.2016.02.003
中图分类号
F831.51 [];
学科分类号
摘要
基于1980—2013期间金融危机后股市恢复的识别,运用生存分析方法,检验货币政策、财政政策、资本账户开放政策和汇率政策等宏观经济政策在金融危机后股市恢复中的作用。研究表明:危机前扩张性的货币政策导致危机后股市更难恢复,而危机后扩张性货币政策加快了股市恢复;危机前高资本账户开放度不利于危机后股市的恢复,但固定汇率制度与资本账户开放政策组合有利于危机后股市的恢复;外汇储备充足的固定汇率制度国家危机后股市恢复更快。
引用
收藏
页码:18 / 28
页数:11
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