经济和金融不对称的范围和方法

Q1 Economics, Econometrics and Finance Journal of Economic Asymmetries Pub Date : 2023-06-01 DOI:10.1016/j.jeca.2023.e00297
George Alogoskoufis , A.G. Malliaris , Thanasis Stengos
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引用次数: 0

摘要

本文通过解决与经济不对称的含义相关的方法论问题,以及这种不对称如何在市场、一般均衡模型以及国家和全球经济中产生,重点关注经济和金融不对称。不对称信息建模方法始于阿克洛夫著名的“柠檬”模型,虽然这些不对称很快被微观经济学、宏观经济学、商业周期和相关领域所采用,但经济政策调整了不对称的概念,以强调经济和金融变量之间不平等响应的重要性。我们讨论了许多主题,这些主题说明了实际经济中经济和金融不对称的巨大范围,以及它们的建模,以确定它们在经济分析和政策中的方法中心地位。
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The scope and methodology of economic and financial asymmetries

This paper focuses on economic and financial asymmetries by addressing methodological issues related to the meaning of economic asymmetries and how such asymmetries arise in markets, general equilibrium modeling and in national and global economies. The methodology of modeling asymmetric information began with Akerlof's celebrated model of “lemons” and while these asymmetries were quickly adopted in microeconomics, macroeconomics, business cycles and related areas, economic policies adapted the concept of asymmetries to highlight the importance of unequal magnitudes of responses among economic and financial variables. We discuss numerous topics that illustrate the large scope of economic and financial asymmetries in actual economies and their modeling to establish their methodological centrality in economic analysis and policy.

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来源期刊
Journal of Economic Asymmetries
Journal of Economic Asymmetries Economics, Econometrics and Finance-Economics, Econometrics and Finance (all)
CiteScore
4.80
自引率
0.00%
发文量
42
审稿时长
50 days
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