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机构地区:[1]湖南大学金融与统计学院,湖南长沙410079
出 处:《湖南财政经济学院学报》2017年第2期21-30,共10页Journal of Hunan University of Finance and Economics
基 金:国家社会科学基金"交互效应面板数据分位数回归模型及应用研究"(项目编号:16BTJ022)
摘 要:借助Cite Space软件,运用共词聚类和统计分析,选择CNKI数据库CSSCI与核心期刊为研究对象,计量分析了宏观审慎的研究动态、热点与特征等,结果发现:研究高峰是危机后的3至4年;主要研究宏观审慎与金融稳定、货币政策、系统性风险、资本监管等之间的关系,2012年后更加注重从管理、政策、中央银行的角度研究宏观审慎;中国人民银行对宏观审慎研究最为积极,银行系统的期刊是宏观审慎研究发表的主要阵地,有4-5个高校机构对宏观审慎进行了深入理论与实证研究,相近领域的作者应加强合作;基金资助有效提高了研究的质量与深度。未来的研究方向应是如何根据国情建立有效的宏观审慎管理制度与框架、研究宏观审慎政策与其它政策的协调性等。This paper analyzes the trends, hot spots and characteristics, etc. of macro -prudent research in China, with the help of CiteSpace software, and uses CO - word clustering and statistical analysis, and selects the paper of CSSCI and core journals of the CNKI database as the research object. The results show that the peak of the macro - prudential study is 3 to 4 years after the crisis, the main research contents are the relationship between macro - prudential and financial stability, monetary policy, systematic risk, capital supervision, etc. , researchers have paid more attention to study on macro -prudential from the perspective of management and the central bank policy since 2012; PBC is the most active on macro - prudential research. In colleges and universities, there are 4 - 5 institutions to carry out in - depth theoretical and empirical research on macro - prudential, the funds raised the quality and depth of macro - prudential research effectively. Future research are: how to establish an effective management system and framework of macro prudential ac- cording to the China conditions, the coordination of macro - prudential policy and other policies, etc.
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