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货币危机的传染及防范研究 被引量:1

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摘要 文章介绍了第一代货币危机模型和第二代货币危机模型的基本观点,在此基础上讨论了亚洲货币危机中货币危机的蔓延机理,并对我国货币危机的防范提出了几点建议。
作者 陈卫华 张睿
出处 《生产力研究》 CSSCI 北大核心 2007年第3期33-34,共2页 Productivity Research
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参考文献3

  • 1Calvo,Guillermo.Contagion in Emerging Markets:When Wall Street Is a Carrier.Unpublished paper,University of Maryland.1999. 被引量:1
  • 2Chang,Roberto,and Andr és Velasco.Financial Crises in Emerging Markets.NBER Working Paper 1998.no.6606. 被引量:1
  • 3Kaminsky,Graciela,and Carmen Reinhart.The Twin Crises:The Causes of Banking and Balance-of-Payments Problems[J].American Economic Review 1999.89,no.3(June):473-500. 被引量:1

同被引文献11

  • 1杨德权,刘旸.新兴市场金融危机传染诱因的实证研究[J].价值工程,2006,25(11):141-145. 被引量:5
  • 2Calvo Sara and Reinhart Carmen, "Capital flows to Latin A- merica: Is There Evidence of Contagion Effects?" in Guiller- mo A. Calvo, Morris Goldstein, Eduard Hochreiter, eds., Private Capital Flows to Emerging Markets After the Mexican Crisis, Washington, DC.. Institute for International Econom- ics, 1996, pp. 151-171. 被引量:1
  • 3Itay Goldstein and Ady Pauzner, "Contagion of Self- fulfilling Financial Crises Due to Diversification of Investment Portfolios", Journal of Economic Theory, Vol. 119, No. 1, 2004, pp. 151-183. 被引量:1
  • 4Albert S. Kyle and Wei Xiong, "Contagion as a Wealth Effect", The Journal of Finance, Vol. 56, No. 4, 2001, pp. 1401-1440. 被引量:1
  • 5Melisso Boschi and Aditya Goenka, "Relative Risk Aversion and the Transmission of Financial Crises", Journal of Economic Dynamics and Control, Vol. 36, No. 1, 2012, pp. 85-99. 被引量:1
  • 6Julia S. Perelstein, "Macroeconomic Imbalances in the United States and Their Impact on the International Financial System", Working papers, The Levy Economics Institute, 2009, No. 554. 被引量:1
  • 7Douglas W. Diamond and Raghuram G. Rajan, "Liquidity Shortages and Banking Crises", The Journal of Finance, Vol. 60, No. 2, 2005, pp. 615-647. 被引量:1
  • 8Enrique G. Mendoza and Vincenzo Quadrini, "Financial Globalization, Financial Crises and Contagion", Journal of Monetary Economics, Vol. 57, No. 1, 2010, pp.24-39. 被引量:1
  • 9Vidhan K. Goyal and Wei Wang, "Debt Maturity and Asymmetric Information.. Evidence from Default Risk Changes", Journal of Financial and Quantitative Analysis, Vol. 48, No.3, 2013, pp. 789-817. 被引量:1
  • 10孙建华.近代以来国际金融危机传染中国的机制及其启示[J].区域金融研究,2009(10):34-38. 被引量:6

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