摘要
本轮国际金融危机爆发以来,经济学界对主流经济学理论进行了深刻反思,并取得积极进展,主要包括把金融因素系统性地引入一般均衡模型框架、重视微观经济主体的异质性、关注宏观审慎管理以及探索新全球化理论。同时,有关宏观经济政策国际协调的研究也实现了新突破,政策外溢分析从单向维度向双向维度转变,政策外溢影响渠道的分析更加强调预期因素,关于政策协调方式和内容的研究不断扩展。
The great progress has been achieved in research on lessons of global financial crisis in advanced economies, which includes adding the financial factors to macroeconomics general equilibrium model, emphasizing the importance of microeconomic heterogeneity, paying more attention to macro-prudential issues, as well as discussing new globalization theory. Research breakthroughs on international macroeconomie policy coordination have also been developed.
出处
《国际金融研究》
CSSCI
北大核心
2017年第1期16-19,共4页
Studies of International Finance
关键词
宏观审慎政策
宏观政策国际协调
回溢效应
Macro-prudential Policy
International Economic Policy Coordination
Spillback Effect