摘要
20世纪90年代以来,众多学者对金融发展和经济增长的关系进行过实证研究。现有的实证研究,无论在计量方法上,还是在计量指标的选择上都存在一定的缺陷。选择更好的计量指标、选择更适合的计量模型、利用产业数据来考察金融发展作用于经济增长的作用机制等是实证研究领域可能的发展方向。
Since the 1990s, many scholars have empirically studied the relationship between financial development and economic growth. There are many drawbacks of the econometrical methods or indexes in the current studies. The new trend of the empirical study is to choose better econometric indexes and methods with industrial data to research into mechanism from financial development to economic growth.
出处
《商业研究》
北大核心
2007年第4期71-77,共7页
Commercial Research
关键词
金融发展
经济增长
实证研究
financial development
economic growth
empirical study