中国金融市场化的度量分析
财经研究 2002 年 第 28 卷第 09 期, 页码:40 - 47
摘要
参考文献
摘要
本文介绍了金融自由化的度量问题,回顾了已有文献中常用的度量方法,首次使用主成分分析法建立了中国金融自由化指标体系,并利用这一指标体系对我国金融自由化进程做了度量及分析,证明了它的有效性。
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① 1 998年AsliDeming Kunt和EnricaDetragiache收集了 1 980 - 1 995年间 53个发达国家和发展中国家的大量数据 ,运用了多元Logit模型来估计金融危机发生的概率?金融自由化的判别依据是利率自由化?参见黄金老 (2 0 0 1 ):《金融自由化与金融脆弱性》第 87- 88页
[2]PatrickHonohan(2001).FinancialLiberalization:HowFar?HowFast?[R].DraftConceptPaperforResearchProject.
[3]Quinn,DennisP.(1997).TheCorrelatesofChangeinInternationalFinancialRegulation[J] AmericanPolitical·54·ScienceReview91(September).
[4]HyeokYongKwon(2001).EconomicConstraints,PartisanHegemony,andtheWelfareStateintheOECD[R].Paperpreparedfordeliveryatthe2001AnnualMeetingoftheAmericanPoliticalScienceAssociation,SanFrancisco,August30 September2.
[5]OrianaBandiera,GerardCaprioJr.,PatrickHononhan,FabioSchiantarelli(1998).DoesFinancialReformRaiseorReduceSavings?[R].WorldBankWorkingPapers,Wps2062.
[6]LucLaeven(2000).FinancialLiberalizationandFinancingConstraints:EvidencefromPanelDataonEmergingEconomies[R].WorldBank,Oct2000.
[7]ArturoGalindo,FabioSchiantarelli,AndrewWeiss(2002).DoesFinancialLiberalizationImprovetheAllocationofInvestment?MicroEvidencefromDevelopingCountries[R].BostonCollegeWorkingPapersinEconomics.
[8]GracielaL.Kaminsky,CarmenM.Reinhart(1998).TheTwinCrises:TheCausesofBankingandBalance of PaymentsProblems[C].No544inInternationalFinanceDiscussionPapersfromBoardofGovernorsoftheFederalReserveSystem(U.S.).
[9]GracielaLauraKaminsky,SergioL.Schmukler(1999).OnBoomsandCrashes:FinancialLiberalizationandStockMarketCysles[R].WorldBank,mimeo,December1999.
[10]JohnWilliamsonandMolliMahar(1998).ASurveyofFinanicalLiberalization[J].EssaysinInternationalFinanceNo.211.
[11]Jos啨AntonioGonzalez Anaya,GreciaM.Marrufo(2001).FinancialMarketPerformanceinMexico[Z].StanfordUniversityCenterforResearchonEconomicDevelopmentandPolicyReform.
[12]黄金老.金融自由化与金融脆弱性[M].北京:中国城市出版社,2001.
[13]卢文岱.SPSSforWindows统计分析[M].北京:电子工业出版社,2000.
[14]陈宗胜,周冰,钟茂初,等.中国经济体制市场化进程研究[M].上海:上海人民出版社,1999.
[15]曲昭光.资本自由化与金融危机关系的分析[J].国际金融研究,2001,(11).
[16]张纪康,殷伟.亚洲金融的开放与管制:现实与得失[J].世界经济,2001,(4).
① 1 998年AsliDeming Kunt和EnricaDetragiache收集了 1 980 - 1 995年间 53个发达国家和发展中国家的大量数据 ,运用了多元Logit模型来估计金融危机发生的概率?金融自由化的判别依据是利率自由化?参见黄金老 (2 0 0 1 ):《金融自由化与金融脆弱性》第 87- 88页
引用本文
刘毅, 申洪. 中国金融市场化的度量分析[J]. 财经研究, 2002, 28(9): 40–47.
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