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房地产价格波动对区域金融稳定的影响——基于安徽省的实证研究 被引量:2

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摘要 本文在对房地产价格波动对金融稳定影响的相关研究文献进行梳理的基础上,以金融稳定为研究目标,以房地产价格波动为研究切入点,从理论层面研究了房地产价格波动对金融稳定的影响途径及传导渠道。在此基础上,以安徽省作为研究对象,运用向量误差修正模型和格兰杰因果检验等方法对安徽省房地产价格波动对区域金融稳定的影响进行实证分析,并提出防范房地产信贷风险及维护区域金融稳定的相关政策建议。
出处 《金融纵横》 2012年第3期11-15,共5页 Financial Perspectives Journal
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