范式之争:中美宏观调控比较研究--以金融危机的应对为例  被引量:8

Comparative Study of Macro-Economic Control and Adjustment Paradigm between USA and China——Taking the Responses to the Financial Crisis

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作  者:盛美娟[1,2] 刘瑞[2] 

机构地区:[1]烟台大学 [2]中国人民大学经济学院

出  处:《政治经济学评论》2011年第1期143-159,共17页China Review of Political Economy

摘  要:各国政府所出台的宏观调控措施对于成功应对金融危机、使世界经济快速复苏起到了至关重要的作用。当前,对于宏观调控内涵和外延存在诸多的争论,形成了多种理论范式。本文以中美两国政府应对金融危机为例,通过对比研究来解读宏观调控的本质,同时对中美两国所代表的宏观调控范式的特征进行理论概括,以加强对中国宏观调控特殊性的研究,从而为中国模式的解读和中国宏观经济理论的构建进行有益的尝试。The macro-economic control and adjustment measures taken by governments around the world played a key role in coping with the serious financial crisis in 2008 and turning the world economy around in a short time. At present, there are many theoretical paradigms providing different explanations for macro-economic control and adjustment. Taking the responses of Chinese government and US government to the financial crisis as example, this paper will offer detailed explanation for the nature of macro-economic control and adjustment and make a summary of the characteristics of macro-economic control and adjustment of the two countries respectively. The aim of this paper is to explore the distinctiveness of macro-economic control and adjustment in China through comparative study so as to have a trial in explaining the Chinese economic mode and constructing Chinese macro-economic theories.

关 键 词:金融危机 宏观调控范式 规制型国家 开发型国家 

分 类 号:F123.16[经济管理—世界经济] F171.2

 

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