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《构建货币经济学模型(第二版)》
构建货币经济学模型(第二版)
作者:刘阳等
译者:刘阳
开本:
ISBN:750493290
出版社:中国金融出版社
出版日期:2004-03-01
装帧:
书夫曼编号:875590
原价: 38
普通会员:35.53  一星会员:34.46
二星会员:33.75  三星会员:33.04

内容简介

进入21世纪以来,全球货币金融领域几个方面的变化非常值得我们研究与借鉴。在金融制度方面,西方发达国家的企业融资加快了从间接融资向直接融资的转化,金融机构相当普遍地由分业经营转向混业经营。在金融市场方面,结构和运行的复杂性越来越高,作用日益增大,新的金融技术层出不穷,金融效率有所提高但也存在不少问题。发达国家金融企业面对日益加剧的市场竞争,经营管理机制不断改革,管理手段和经营方式有了很大的发展。在宏观金融管理方面,各国金融管理当局针对金融体系的结构性变化和金融企业的经营创新,调控和监管的政策目标和实施手段也在调整和改进。在国际金融关系方面,国际货币合作的格局有了新的特点,国际金融机构应该起什么样的作用也受到广泛的关注。
  中国加入WTO后,金融业进一步对外开放,国际竞争进一步加大。在建设社会主义市场经济的方针指引下,我国金融改革开放已经迈出了坚实的步伐,但仍有许多理论与实践上?奈侍庑枰┎芍诔ぃ钊胙芯俊T衿湟闳缦拢阂皇且钊胙芯抗饨鹑谥贫茸钚卤浠睦砺塾肜返谋尘埃夜鹑谥贫鹊母慕峁┎慰迹欢且庑兄行У慕鹑诨咕芾淼睦砟詈头椒ǎ忧慷越鹑诖葱碌牧私夂驼莆眨岣呶夜鹑谝档墓示赫Γ蛹尤隬TO后金融服务贸易自由化条件下的国际竞争;三是要了解国外货币政策与金融监管的新的政策架构与政策手段,为市场化与开放条件下的金融调控提供借鉴。四是要研究当今国际货币体系与国际货币合作的新特点,为制定与实施符合我国国际经济地位的国际货币金融政策提供知识支持。
  考虑到我国加入WTO后金融部门借鉴国际经验改进管理、提高效率的要求,考虑到在金融全球化背景下跟踪国外金融理论与实践发展的需要,我们邀请了金融领域学有专长的专家学者和富有经验的高级管理人员组成编委会,集思广益,推出在书目选择和翻译质量上力求精湛的、具有权威性与实用性的《金融论著译丛》。
  20世纪80年代,中国金融出版社曾经推出了一套由南开大学著名教授钱荣 先生主编的《国外金融论著译丛》。当时正值中国经济改革开放初期,社会急需了解一些国外金融理论和实际操作的图书,《国外金融论著译丛》受到了广泛的好评。从这个意义上说,《金融论著译丛》是中国金融出版社80年代出版的《译丛》的继续和延伸,是在新的历史条件下,适应我国改革开放的新形势而推出的又一套反映国外最新金融理论与金融实践的译丛,希望得到读者的认可。
本书运用市场中理性人的经典范例讲授货币经济学,其对象是高年级的本科生。货币经济学常常教成了一系列要学生记住的现行体制的事实,而从讲述第一条原则起,本书作者的目的就不仅仅是要告诉学生当今美国存在的货币政策和体制,而且要告诉他们将来或者其他地方可能存在的政策和体制。本书建立在一个简单明晰的货币模型基础上,并运用这个统一的模型框架来系统地分析各种货币问题。作者在第二版中加入了新的内容,如货币的投机冲击,社会保障体系,货币局,中央银行的政策选择,支付体系,以及价格突变下的卢卡斯模型。很多主题的讨论都有所扩展,数据大幅度扩充,并且增加了练习。


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目录

目        录  总序                                      序                                      第一部分货币                                      第1章简单的货币模型                                      1.  1建立货币模型                                      1.  2环境                                      1.  3偏好                                      1.  3.  1将来代                                      1.  3.  2初始年老代                                      1.  4经济中的问题                                      1.  5可行的配置                                      1.  5.  1黄金规则配置                                      1.  5.  2初始年老代                                      1.  6非集中式的解决方法                                      1.  6.  1无货币时的均衡                                      1.  6.  2有货币时的均衡                                      1.  7不兑现纸币需求的确定                                      1.  7.  1个体的预算                                      1.  7.  2不兑现纸币回报率的确定                                      1.  7.  3货币数量论                                      1.  7.  4货币存量的中性                                      1.  7.  5纸币的作用                                      1.  8这样的货币均衡符合黄金规则吗                                        1.  9经济增长下的货币均衡                                      1.  9.  1人口增长下的可行集                                      1.  9.  2人口增长下的预算集                                      1.  10小结                                      练习                                      附录:运用微积分知识                                      例                                      附录练习                                      第2章物物交换与实物货币                                      2.  1物物交换模型                                      2.  1.  1直接的物物交换                                      2.  1.  2货币交换                                      2.  2什么可以充当货币                                      2.  2.  1交易成本                                      2.  3实物货币模型                                      2.  3.  1实物货币均衡                                      2.  3.  2黄金的消费                                      2.  3.  3实物货币的低效性                                      2.  4小结                                      练习                                      第3章通货膨胀                                      3.  1纸币供给的增长                                      3.  1.  1货币增长下的预算集                                      3.  1.  2通货膨胀的低效性                                      3.  1.  3经济增长下的黄金规则货币政策                                      3.  1.  4固定价格水平的政府政策                                      3.  2为政府采购融资                                      3.  2.  1通货膨胀是有效的税收方法吗                                        3.  2.  2不扭曲预算集的税收                                      3.  3使用铸币税的限制                                      3.4小结                                      练习                                      附录:均衡消费落在可行集的边界上                                      第4章国际货币体系                                      4.  1国际货币交换的模型分析                                      4.  2外汇管制                                      4.  2.  1固定汇率制                                      4.  2.  2外汇管制的成本                                      4.  3汇率的不可确定性                                      4.  3.  1汇率的波动                                      4.  3.  2国际货币交易者                                      4.  4固定汇率                                      4.  4.  1相互合作的稳定                                      4.  4.  2汇率的单边保护                                      4.  4.  3对货币的投机性攻击                                      4.  4.  4通货膨胀的冲动                                      4.  5最优国际货币体系                                      4.  6小结                                      练习                                      第5章价格突变                                      5.  1数据                                      5.  1.  1菲利普斯曲线                                      5.  1.  2多国之间的比较                                      5.  2预期与货币中性                                      5.  2.  1卢卡斯模型                                      5.  2.  2非随机的通货膨胀                                      5.  2.  3随机的货币政策                                      5.  3对计量经济政策评估的卢卡斯批判                                      5.  4最优政策                                      5.  5小结                                      练习                                      附录:一个反证                                      第二部分银行                                      第6章资本                                      6.  1资本                                      6.  2回报率均等                                      6.  3纸币能与另一种资产同时并存吗                                        6.  3.  1托宾效应                                      6.  4纸币与其他资产不可替代                                      6.  4.  1名义利率                                      6.  4.  2预期通货膨胀和名义利率                                      6.  4.  3预期通货膨胀和实际利率                                      6.  5风险                                      6.  6小结                                      练习                                      附录A:私人负债模型                                      1.  私人负债                                      2.  私人负债和资本                                      附录练习                                      附录B:资本存量的黄金规则                                      附录练习                                      第7章流动性与金融中介                                      7.  1货币作为流动性资产                                      7.  1.  1非流动性模型                                      7.  2银行业务                                      7.  2.  1一个套利的例子                                      7.  2.  2套利对均衡的影响                                      7.  3小结                                      练习                                      附录                                      1.  作为监督者的银行                                      第8章中央银行与货币供给                                      8.  1金融中介机构的法律限制                                      8.  2准备金要求                                      8.  2.  1准备金要求下的银行                                      8.  2.  2价格                                      8.  2.  3铸币税                                      8.  2.  4资本和实际产出                                      8.  2.  5存款                                      8.  2.  6福利                                      8.  2.  7中央银行定义的货币                                      8.  2.  8我们模型中的总货币供给                                      8.  3中央银行贷款                                      8.  3.  1限量的中央银行贷款                                      8.  3.  2无限量的中央银行贷款                                      8.  3.  3加拿大和美国的中央银行贷款政策                                      8.  4小结                                      练习                                      第9章货币存量波动                                      9.  1货币与产出之间的相关性                                      9.  2现金和存款模型                                      9.  2.  1内在货币和外在货币模型                                      9.  3结合货币乘数与产出                                      9.  3.  1相关还是因果                                        9.  3.  2纸币存量的一次性变动                                      9.  3.  3稳定货币政策                                        9.  3.  4对货币总量的另一种考察                                      9.  4预期到的通货膨胀和产出的修正                                      9.  5小结                                      附录:存在准备金要求和现金的货币供给                                      附录练习                                      第10章十足准备的中央银行货币                                      10.  1向货币支付利息                                      10.  2再论货币数量论                                      10.  3通货紧缩                                      10.  4货币局                                      10.  5小结                                      练习                                      附录:价格水平不确定                                      第11章支付系统                                      11.  1债务结算模型                                      11.  1.  1贸易                                      11.  2债务清算机构                                      11.  3提供流动性                                      11.  3.  1货币供给无弹性的均衡                                      11.  3.  2弹性纸币供给                                      11.  3.  3弹性内在货币供给                                      11.  3.  4完全保证的银行券                                      11.  4通货膨胀性过度发行银行券的可能                                      11.  5短期利率                                      11.  5.  1政策选择                                      11.  6小结                                      第12章银行风险                                      12.  1活期存款银行业务                                      12.  1.  1活期存款业务模型                                      12.  2银行挤兑                                      12.  3防止恐慌                                      12.  3.  1银行间贷款                                      12.  3.  2辨别非必要的支取                                      12.  3.  3暂停支付存款                                      12.  3.  4政府存款保险                                      12.  4银行破产                                      12.  5存款保险的道德风险                                      12.  6资本要求的重要性                                      12.  6.  1对投保银行的资本要求                                      12.  6.  2关闭无清偿能力的银行                                      12.  7小结                                      练习                                      第三部分政府债务                                      第13章赤字和国债                                      13.  1大额政府债务                                      13.  1.  1分散资产市场模型                                      13.  1.  2引入政府债券                                      13.  2连续的债务发行                                      13.  2.  1债务的滚动发行                                      13.  3国债负担                                      13.  3.  1政府预算约束                                      13.  3.  2政府的跨期选择                                      13.  4公开市场业务                                      13.  5政治策略和国债                                      13.  6小结                                      练习                                      第14章储蓄和投资                                      14.  1储蓄决策                                      14.  1.  1财富                                      14.  1.  2现值                                      14.  1.  3财富和消费                                      14.  1.  4收入和储蓄                                      14.  2税收对消费和储蓄的影响                                      14.  2.  1财富中性的税收变化                                      14.  2.  2财富效应                                      14.  3小结                                      练习                                      附录:社会保障                                      完全基金制政府养老金                                      现收现付制                                      附录练习                                      第15章国债对资本和储蓄的影响                                      15.  1国债和资本挤出                                      15.  1.  1赤字和利息率                                      15.  2中性政府债务                                      15.  3小结                                      练习                                      附录A:纸币和资本挤出                                      抵消性财富转移                                      附录B:无限期生存者                                      无限期生存者模型                                      财富.  资本和附息政府债务                                      财富.  资本和实际货币余额                                      父母,  遗产和无限期生存                                      关于父母的简单模型                                      不留遗产的父母                                      附录练习                                      第16章通货膨胀的诱惑                                      16.  1债务违约                                      16.  1.  1违约的不一致性                                      16.  1.  2承诺                                      16.  1.  3声誉                                      16.  1.  4风险性债务的回报率                                      16.  2通货膨胀和名义国债                                      16.  2.  1未预期的通货膨胀和实际国债                                      16.  2.  2预期的通货膨胀和实际国债                                      16.  2.  3理性预期                                      16.  2.  4对卢卡斯批判的再考察                                      16.  2.  5自我实现的通货膨胀预期                                      16.  2.  6恶性通货膨胀                                      16.  2.7货币政策的约束                                      16.  3铸币税的诱惑                                      16.  4通货膨胀和私人债务                                      16.  5小结                                      练习                                      附录:积极的货币政策                                      参考文献


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