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首页> 外文期刊>Working Paper Series. Monetary Economics >DSGE MODELS IN A DATA-RICH ENVIRONMENT
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DSGE MODELS IN A DATA-RICH ENVIRONMENT

机译:数据丰富的环境中的DSGE模型

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摘要

Standard practice for the estimation of dynamic stochastic general equilibrium (DSGE) models maintains the assumption that economic variables are properly measured by a single indicator, and that all relevant information for the estimation is summarized by a small number of data series. However, recent empirical research on factor models has shown that information contained in large data sets is relevant for the evolution of important macroeconomic series. This suggests that conventional model estimates and inference based on estimated DSGE models might be distorted. In this paper, we propose an empirical framework for the estimation of DSGE models that exploits the relevant information from a data-rich environment. This framework provides an interpretation of all information contained in a large data set, and in particular of the latent factors, through the lenses of a DSGE model. The estimation involves Markov-Chain Monte-Carlo (MCMC) methods. We apply this estimation approach to a state-of-the-art DSGE monetary model. We find evidence of imperfect measurement of the model's theoretical concepts, in particular for inflation. We show that exploiting more information is important for accurate estimation of the model's concepts and shocks, and that it implies different conclusions about key structural parameters and the sources of economic fluctuations.
机译:估计动态随机一般均衡(DSGE)模型的标准做法是维持这样的假设,即经济变量可以由单个指标正确地测量,并且所有与估计有关的信息都可以由少量数据系列进行汇总。但是,最近对因素模型的实证研究表明,大数据集中包含的信息与重要的宏观经济序列的演变有关。这表明传统的模型估计和基于估计的DSGE模型的推断可能会失真。在本文中,我们提出了一个评估DSGE模型的经验框架,该模型利用了数据丰富环境中的相关信息。该框架通过DSGE模型的视角,对大型数据集中包含的所有信息进行了解释,尤其是对潜在因素的解释。该估计涉及马尔可夫链蒙特卡洛(MCMC)方法。我们将此估算方法应用于最新的DSGE货币模型。我们发现,该模型的理论概念(尤其是通货膨胀)的测量结果不完善。我们表明,利用更多信息对于准确估计模型的概念和冲击很重要,并且它暗示了有关关键结构参数和经济波动来源的不同结论。

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