s曲线:理解全球金融自由化的动态

Nan Li, C. Papageorgiou, Tong Xu, T. Zha
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引用次数: 1

摘要

研究人员利用1973年至2014年90个国家国内金融改革的新数据库发现,全球金融自由化遵循s曲线路径:改革在早期缓慢渐进,在20世纪90年代加速,2000年后放缓。我们估计了一个可以解释这些动态的学习模型。政策制定者通过学习本国和其他国家的经验,更新了他们对金融改革增长效应的看法。发达经济体的积极增长意外帮助加速了世界范围内的信念更新,导致了20世纪90年代的全球金融自由化浪潮。然而,2008年的金融危机导致了重大的信念逆转。
本文章由计算机程序翻译,如有差异,请以英文原文为准。
The S-curve: Understanding the Dynamics of Worldwide Financial Liberalization
Using a novel database of domestic financial reforms in 90 countries from 1973 to 2014, we document that global financial liberalization followed an S-curve path: reforms were slow and gradual in early periods, accelerated during the 1990s, and slowed down after 2000. We estimate a learning model that explains these dynamics. Policymakers updated their beliefs about the growth effects of financial reforms by learning from their own and other countries' experiences. Positive growth surprises in advanced economies helped accelerate belief updating worldwide, leading to the global wave of financial liberalization in the 1990s. The 2008 financial crisis, however, caused significant belief reversals.
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