文档介绍:欧元区泰勒规则和最优货币政策实证研究
【内容摘要】本文从欧元启动后欧元区金融体系的变迁及欧元区泰勒规则的运用对欧洲央行的决策制定,通过详细深入的剖析泰勒规则在欧元区的应用——统一货币政策决策(含欧盟之初的货币政策背景,运用“泰勒法则”分析1970-2006年初欧洲中央银行的货币政策决策倾向,指出随着金融体系走向证券化,国际化,制定与时局相适应的货币政策是必然的。理论联系实际8ttt8,在宏观和微观两个层面进行重点研究,并采用最新的计量经济技术,应用新凯恩斯模型对经过ssbbww修正后的泰勒规则进行了基于欧元区数据的实证研究,认为欧元区金融体系的统一和结构性变革与欧元区泰勒规则的实施创造了宏观金融条件,并从微观上对最优货币政策进行论证。研究泰勒规则和最优货币政策带来的启迪是,欧洲货币政策的改变具有其规律,微观金融战略的支持。最后,木文以最优货币政策实证为基础,在金融全球化背景下结合我国社会主义特色市场经济的实际8ttt8情况8 tt t 8. com下探讨我国货币政策的发展及对策。
【关键字】欧元泰勒规则最优货币政策新凯恩斯模型发展及对策
【Abstract】 This article from an euro started at Euro sector finance system vicissitude and the Euro sector Taylor rule utilization to the European central bank policy-making formulation, through detailed thoroughly analyzes the Taylor rule (to contain at the beginning ofEuropean Union in the Euro sector application -unification arypolicy decision-making the ary policy background, the utilization"the Taylor principle" analyzes 1970-2006 beginning of the year EuropeCentral Bank the ary policy decision-making tendency, pointed outmoves towards the negotiable securities along with the financialsystem, the internationalization, the formulation and the currentpolitical situation adapt the ary policy is inevitable. Then apply theory to reality, conducts the key research in macroscopic and the microscopic two stratification planes, and uses the newestmeasurement economical technology, applied the new Keynes model to