摘要
金融发展与经济增长的关系是经济学研究的一个热点课题。本文通过构建反映我国金融发展与经济增长的指标,并基于全国1980—2007年的时间序列数据,利用多元统计方法,对我国31个省、直辖市和自治区进行聚类分析,划分出三类经济区域,采用高等计量方法对两者之间的关系分别进行协整及因果关系检验,在研究结论的基础上给出政策启示。
Financial development and economic growth is the relationship between the economics of a hot topic. This paper reflects the construction of China' s financial development and economic growth indicators, and years based on 1980-2007 national time -series data, using multivariate statistical methods, on China's 31 provinces, municipalities and autonomous regions for cluster analysis, divided into three economic regions using higher measurement method the relationship between the two separate cointegration and causality test, in the conclusion of the study based on the policy implications are given.
出处
《兰州商学院学报》
2009年第6期100-104,共5页
Journal of Lanzhou Commercial College
基金
周口师范学院青年科研基金"基于MATLAB的空间计量经济建模及应用"