统计研究 ›› 2004, Vol. 21 ›› Issue (4): 21-6.

• 论文 • 上一篇    下一篇

多重均衡条件下的金融发展与经济增长的关系——模型与中国的实证

战明华   

  1. 绍兴文理学院
  • 收稿日期:1900-01-01 修回日期:1900-01-01 出版日期:2004-04-15 发布日期:2004-04-15

  • Received:1900-01-01 Revised:1900-01-01 Online:2004-04-15 Published:2004-04-15

Abstract: The paper draws the conclusion that the phenomenon of multi-equilibrium between financial development and economic growth does exist by using dynamic optimization theory of general equilibrium between three sectors of consumer, producer and financial intermedia and conducts experimental analysis of the existence of the multi-equilibrium in China.