...
首页> 外文期刊>Quantitative Economics >Optimal fiscal policy with heterogeneous agents
【24h】

Optimal fiscal policy with heterogeneous agents

机译:异构代理商的最优财政政策

获取原文
获取原文并翻译 | 示例
           

摘要

The aim of this paper is to study the relationship between the intertemporal behavior of taxes and wealth distribution. The optimal-taxation literature has often concentrated on representative-agent models, in which it is optimal to smooth distortionary taxes. When tax liabilities are unevenly spread in the population, deviations from tax smoothing lead to interest rate changes that redistribute wealth. When a bad shock hits the economy, the optimal policy will then call for smaller or larger deficits, depending on the political power of different groups. This effect is particularly relevant in the case of large shocks to government finances, such as wars.
机译:本文旨在研究税收的跨期行为与财富分配之间的关系。最优税收文献通常集中在代表性代理模型上,在该模型中,平滑扭曲税收是最优的。当税收负债在人口中分布不均时,偏离税收平滑会导致利率变动,从而重新分配财富。当经济受到严重冲击时,最佳政策将要求减少或增加赤字,具体取决于不同群体的政治力量。在战争等政府财政遭受重大冲击的情况下,这种影响尤为重要。

著录项

相似文献

  • 外文文献
  • 中文文献
  • 专利
获取原文

客服邮箱:kefu@zhangqiaokeyan.com

京公网安备:11010802029741号 ICP备案号:京ICP备15016152号-6 六维联合信息科技 (北京) 有限公司©版权所有
  • 客服微信

  • 服务号