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Monetary and Fiscal Policy in Times of Crisis: A New Keynesian Perspective in Continuous Time

机译:危机时期的货币和财政政策:连续时间的凯恩斯主义新视角

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摘要

To analyse the interdependence between monetary and fiscal policy during a financial crisis, we develop an open-economy DSGE model with monetary and fiscal policy, as well as financial markets, in a continuous-time framework based on stochastic differential equations. Monetary policy is modelled using both a standard and a modified Taylor rule and fiscal policy is modelled as either expansionary or austere. In addition, we differentiate between open economies and monetary union members. We find evidence that the modified Taylor rule notably reduces the likelihood that the financial market crisis affects the real economy. However, if we assume that households are averse to outstanding government debt, we find that a combination of expansionary monetary policy and austerity-oriented fiscal policy does a better job of stabilising both domestic and foreign economies in regard to both output and inflation. In the case of a monetary union, we find that stabilization of output in the country where the financial shock originated is no longer as easy and, in terms of prices, there is now deflation in that country and a positive inflation rate in the other member country of the monetary union.
机译:为了分析金融危机期间货币政策与财政政策之间的相互依赖性,我们在连续时间框架内基于随机微分方程,开发了具有货币政策与财政政策以及金融市场的开放经济DSGE模型。货币政策是使用标准泰勒规则和修正泰勒规则建模的,而财政政策则建模为扩张性的或严格的。此外,我们区分开放经济体和货币联盟成员。我们发现有证据表明,修改后的泰勒规则显着降低了金融市场危机影响实体经济的可能性。但是,如果我们假设家庭不愿偿还未偿还的政府债务,则会发现,将扩张性货币政策与紧缩型财政政策相结合,可以更好地稳定国内外经济的产出和通货膨胀。以货币联盟为例,我们发现,在发生金融冲击的国家中稳定产出已不再那么容易了,就价格而言,该国现在出现通货紧缩,而另一个成员国的通货膨胀率为正货币联盟国家。

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  • 来源
    《The Manchester school》 |2018年第1期|21-48|共28页
  • 作者

    Foerster Britta; Hayo Bernd;

  • 作者单位

    Univ Marburg, Inst Verkehrsforsch, Marburg, Germany;

    Univ Marburg, Marburg, Germany;

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  • 原文格式 PDF
  • 正文语种 eng
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