摘要
金融自由化理论主张改革政府对金融的过度干预,放松对金融机构和金融市场的限制,增强企业的融资功能,放松利率和汇率的管制使之市场化。本文通过对金融自由化与经济增长关系理论的回顾,分析了金融自由影响经济增长的路径,并结合我国的实际探讨了实行金融自由化所需条件。
The financial liberation theory advocates that we should reform excessive government intervention in the financial sector, while striving for an increasing liberalization of financing institution and financial market, strengthening the financial function of enterprise, we should deregulate the interest rate and foreign exchange rate and adopt it to the market principle. By looking back upon the relational theory of financial liberation and economic growth, this paper discusses the way through which finance influences the economic growth, and what is needed to realize financial liberation, combining the concrete situation in our country.
出处
《福建金融管理干部学院学报》
2006年第3期36-41,共6页
Journal of Fujian Institute of Financial Administrators
关键词
金融自由化
经济增长
资源配置效率
financial liberation
economic growth
efficiency of resource allocation