相关实验视频
新兴亚洲工业化国家的货币冲击和全球金融稳定
Zhonglu Chen1, Gang Zhao2, Yanran Hong3
1School of Economics and Management, Sichuan Tourism University, Chengdu, China.
Evaluation review
|May 30, 2025
概括
货币冲击严重影响全球金融稳定. 这项研究揭示了泰国,印度和中国的不同汇率 (ER) 和金融压力指数 (FSI) 动态,提供了政策见解.
科学领域:
- 经济学 经济学 经济学
- 国际金融 国际金融
- 金融稳定性 金融稳定性
背景情况:
- 全球金融体系的稳定对于国际贸易和投资至关重要.
- 关于汇率冲击对新兴亚洲工业化经济体的影响的研究有限.
- 了解这些动态对于制定经济政策至关重要.
研究的目的:
- 分析泰国,印度和中国的汇率 (ER) 和金融压力之间的关系.
- 为了确定货币冲击传播的特定国家模式.
- 为有针对性的经济政策制定提供见解.
主要方法:
- 使用汇率 (ER) 作为一个关键变量.
- 使用OFR金融压力指数 (FSI) 来衡量金融系统压力.
- 在选定的国家对ER和FSI之间的相互关系进行了全面分析.
主要成果:
- 泰国:ER对FSI具有长期影响,具有积极的冲击反.
- 印度:ER对FSI非常敏感,FSI会引发负面的ER冲击.
- 中国:ER影响FSI短期,潜在的负相关;增加FSI可能会提高ER.
结论:
- 这些亚洲国家的经济发展模式在这些亚洲国家之间有很大差异.
- 独特的ER-FSI关系凸显了对国家特定政策方法的需求.
- 调查结果为政策制定者管理货币和金融稳定提供了有价值的指导.
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