The business cycle and monetary policy: what changed after the GFC?

IF 0.8 Q3 ECONOMICS New Zealand Economic Papers Pub Date : 2020-09-01 DOI:10.1080/00779954.2020.1817135
Viv B. Hall, C. J. McDermott
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引用次数: 1

Abstract

To examine changes in the nature of the business cycle and its interaction with monetary policy we estimate a small open economy New Keynesian model using two time periods, one prior to the Global Financial Crisis (GFC) of 2007–2009 and one post the financial crisis. The model has the standard features of sticky prices and monopolistic competition. To fit the data the model also allows for households with a degree of habit persistence and a proportion of firms whose pricing decisions are simply to index to past inflation. Our results indicate the main difference pre- and post-GFC is that the economy has become less interest rate sensitive. Therefore, to stabilize the output and inflation, monetary policy actions need to be stronger than they were prior to the GFC. Moreover, the reduction in neutral interest rates post-GFC has resulted in additional transitional dynamics that have lowered inflation and output.
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商业周期和货币政策:全球金融危机后发生了什么变化?
为了研究商业周期性质的变化及其与货币政策的相互作用,我们使用两个时间段来估计一个小型开放经济新凯恩斯模型,一个是在2007-2009年全球金融危机之前,一个是在金融危机之后。该模型具有粘性价格和垄断竞争的标准特征。为了拟合数据,该模型还考虑了具有一定程度习惯持久性的家庭和一定比例的公司,这些公司的定价决策只是简单地以过去的通货膨胀为指数。我们的研究结果表明,全球金融危机前后的主要区别在于,经济对利率的敏感度降低了。因此,为了稳定产出和通胀,货币政策行动需要比全球金融危机之前更有力。此外,全球金融危机后中性利率的降低导致了额外的过渡动力,降低了通胀和产出。
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来源期刊
New Zealand Economic Papers
New Zealand Economic Papers Economics, Econometrics and Finance-Economics, Econometrics and Finance (all)
CiteScore
1.20
自引率
0.00%
发文量
17
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