协调公共债务管理与财政和货币政策:一个分析框架

Eriko Togo
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引用次数: 61

摘要

本文提出了一个主权资产负债管理框架,用于分析债务管理与财政和货币政策之间的相互关系。它说明了不协调的政策组合的后果,并通过纳入债务管理扩展了萨金特和华莱士(1981年和1993年)。财政、货币和债务管理当局进行政策博弈的例子强调了政策分离和协调的重要性,以防止一个当局对另一个当局的统治,从而导致政策组合不一致。
本文章由计算机程序翻译,如有差异,请以英文原文为准。
Coordinating Public Debt Management with Fiscal and Monetary Policies: An Analytical Framework
This paper proposes a sovereign asset and liability management framework for analyzing the inter-relationships between debt management, fiscal and monetary policies. It illustrates the consequences of uncoordinated policy mix and extends Sargent and Wallace (1981 and 1993) by including debt management. Examples of policy games played by fiscal, monetary, and debt management authorities reinforce the importance of policy separation and coordination to prevent domination by one authority over another which could lead to inconsistent policy mix.
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