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金融监管强度边界的均衡分析 被引量:2

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摘要 利用经济学理论的一般均衡分析工具,确立了金融监管有效的强度边界和稳定的均衡条件。利用效用函数和预算函数,证明了金融监管的需求强度边界线是一条向右下方倾斜的曲线。通过收益函数和成本函数,证明了金融监管的供给强度边界是一条向右上方倾斜的曲线。通过动态蛛网模型分析,得出金融监管强度动态边界稳定的充要条件。
出处 《统计与决策》 CSSCI 北大核心 2007年第2期92-94,共3页 Statistics & Decision
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