摘要
近几年来,面对复杂的经济金融形势,人民银行运用多种货币政策工具,对国民经济运行开展适时适度调节,特别是2007年下半年,人民银行执行多年的"稳健货币政策"因经济层面的变化转为"适度从紧货币政策",而仅短短一年后,受国际金融危机影响,全球经济增速回落,国际国内市场需求大幅下降,人民银行的货币政策从"适度从紧"转为"适度宽松"。从桂林辖区过去三年多经济金融运行的总体情况看,货币政策的实施效应逐步显现。本文结合当前的经济金融形势变化,运用VAR模型对国家货币政策对桂林经济影响的实际效果进行实证分析,正确认识近几年的金融宏观调控,充分肯定调控的成效,提出完善有关政策措施,对于做好下阶段的金融宏观调控工作,具有十分重要的意义。
In recent years, inspected from the economic and financial condition of Guilin, the effect of the monetary policy was embodied step by step. Based on the change of the economy and finance in recent years, this paper tries to carry a empirical research on the influence of monetary policy to the economy of Guilin using VAR models. Understanding the financial regulation and control policy, acknowledging the positive effect of the policy and proposing relevant policy are useful for the financial regulation and control in the future.
出处
《区域金融研究》
2010年第9期27-33,共7页
Journal of Regional Financial Research