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Status已发表Published
Title日本应对流动性陷阱的财政货币政策分析
Creator
Date Issued2009
Source Publication现代日本经济
ISSN1000-355X
Issue05Pages:19-23
Abstract

20世纪90年代进入衰退期的日本经济为了应对通货紧缩和"流动性陷阱"风险,采取的宏观经济和金融货币政策调整的有效性成为人们广泛关注的研究问题。虽然日本对宏观经济和金融货币政策进行了多方面的调整,但并未实现缓解通货紧缩压力、降低"流动性陷阱"风险、走出经济衰退的预期效果。鉴于日本的经验和教训,我国在当前全球金融危机形势下,既要抑制通货膨胀,适度地调整我国经济的通胀预期,还要有效防范陷入"流动性陷阱"的风险。

Keyword通货紧缩 流动性过剩 流动性陷阱 宏观经济政策 财政政策 货币政策
URLView source
Indexed ByCSSCI
Language中文Chinese
Document TypeJournal article
Identifierhttp://repository.uic.edu.cn/handle/39GCC9TT/8611
CollectionResearch outside affiliated institution
Corresponding Author刘光友
Affiliation
中山大学管理学院
Recommended Citation
GB/T 7714
刘光友. 日本应对流动性陷阱的财政货币政策分析[J]. 现代日本经济, 2009(05): 19-23.
APA 刘光友. (2009). 日本应对流动性陷阱的财政货币政策分析. 现代日本经济(05), 19-23.
MLA 刘光友."日本应对流动性陷阱的财政货币政策分析". 现代日本经济 .05(2009): 19-23.
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