制度、权力与经济绩效.doc
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1、制度、权力与经济绩效2005年美国克拉克奖获得者阿科姆格鲁(Acemoglu)理论评述郭艳茹(山东大学经济研究中心)内容摘要:阿科姆格鲁(Acemoglu)是位研究领域广阔且著述丰厚的经济学家,他在劳动经济学、宏观经济学,尤其是制度经济学及政治经济学领域极具开创性的理论贡献使他获得了2005年美国经济学的克拉克奖。他在制度研究方面的贡献主要集中在两个方面:一是对制度研究中的一些重要命题进行严格的实证检验,二是建立动态理论框架来研究国与国之间为什么存在制度差异,并提出了制度决定的“社会矛盾论”。他以标准的经济学方法来研究制度、历史,努力构建一个历史与逻辑相统一的经济史理论。他的理论对于我们理解历
2、史中的制度变迁极具启发和借鉴意义。关键词:制度政治权力社会矛盾论中图分类号:F019 文献表示码:AInstitutions, Power and Economic Performance: Comments on the theory of Acemoglu, the 2005 Clark Prize winnerAbstract: As a broad and productive economist, Acemoglu has made valuable contributions in the fields of labor economics, macroeconomics, ins
3、titutional economics, and political economics. His recent work on the role of institutions in development and in political economy is especially innovative, which is focused on two sides. First he has examined some important propositions on institutions with regression analysis, and secondly he has
4、outlined a dynamic theoretical framework for thinking about why economic institutions vary across countries and developed “Social Conflict View” for searching for the fundamental determinants of economic institutions. He researches institutions and histories with standard economic methods and is on
5、the way of constructing a new theory of economic history with consistence of history and logic.We can learn a lot from him on how to understand the institutional changes in the history.Key Words: Institution, Political Power, Social Conflict ViewJEL Classification: N10,N40,O10金融发展与经济增长的多重均衡关系:因果关系模式
6、的再思考李泽广 王群勇(南开大学经济学院)内容摘要:既有研究和特征事实表明,处于不同发展阶段的国家其经济增长与金融发展的互动关系存在多重均衡的可能,这种多重均衡关系又以“需求跟进”和“供给拉动”两种因果模式最为典型。然而,很难对不同国家或者一个国家的不同时期用单一的因果模式加以概括和描述。本文证明了经济增长与金融发展之间多重均衡关系的存在性及其转化的条件,并利用40个国家的截面数据验证了这一结论。结论发现,在不同国家和不同的经济发展阶段,二者互动关系模式不断转化;同时,对我国的实证分析表明,自上个世纪50年代以来,中国经济增长和金融发展的关系模式以1978年和1994年为分界岭呈现三个阶段性特
7、征,二者之间的因果关系经历了由平稳到动荡、再由动荡到平稳的历史演变过程。关键词:经济增长金融发展多重均衡因果关系 中图分类号:F061.2 文献标识码:AFinancial Development and Economic Growth:An Analysis on multiple-equilibrium relationship Abstract:Striking facts and literatures have made it clear that there are multiple equilibriums relationship between financial devel
8、opment and economic growth for different countries and different periods of one country. Demand-following and Supply-leading are two stylized kinds of this multiple-equilibrium relationship, yet only one cause-effect model doesnt work well to generalize and describe the striking facts. This paper co
9、nstructs a simple model to prove that there are indeed multiple-equilibrium relationship between financial development and economic growth; of course, there are also some constraint-conditions to convert from each other. Then we use 40 countries cross-section data to test these conclusions, and empi
10、rical results support our conclusions. Beside all others, we find there are breakout point of the relationship between financial development and economic growth in 1978 and 1994 by econometrical tools in China. Key Words: Economic growth, financial development, multiple-equilibrium, cause-effect rel
11、ationship JEL Classification:F410,O110开放经济下国家间专利制度差异的经济学分析刘达(山东大学经济研究中心) 内容摘要:现代社会中的国家间专利制度博弈是一个极其复杂的问题。本文利用内生技术创新模型,并把传统分析中使用的长度和宽度合并为专利保护的强度,通过最大化社会福利来研究专利制度的最优权衡问题。本文反对当前某些发达国家倡导的“国际专利制度一体化”观点,提出国家间技术和知识禀赋的不同将造成创新能力的差异,应该允许具有不同研发能力的国家实施不同强度的专利保护,并为开放经济下国家间专利制度取向的差异找到了理论依据。 关键词:专利专利制度知识产权 非合作 中图分类
12、号:F114.4文献标识码:ANational Differences in Optimal Patent Institutions of An Open Economy Abstract:The equilibrium of a game in which two countries set their patent policies non-cooperatively in an open economy is so complicated. This paper develops a simple model of endogenous innovation and uses lengt
13、h and breadth to indicate strength that governments face in choosing their patent policies. Endowments of human capital and innovation abilities ask for different level of patent institution. Finally, we address the issue of universal standards for patent protection, which are claimed by some commen
14、tators and seem to be based on a desire for global efficiency. We proceed to investigate that harmonization is unnecessary to be realized in the absence of some form of direct compensation. Our conclusion is, in an open economy, differences in market size and differences in capacity for R&D generate
15、 national differences in optimal patent policies. Key words:Patent, patent institution, intellectual property rights, non-cooperative JEL Classification: F130,O340创新、政府公共R&D与经济增长许治(西北大学经济管理学院)内容提要:本文构建了包含政府公共R&D支出的增长模型,将政府公共R&D支出区分为三种方式:资助公共R&D部门从事R&D活动,资助企业的R&D活动,政府对企业R&D提供税收优惠(或补贴),并探讨了这三种方式对均衡增长率
16、的影响机制。本文认为:政府公共R&D支出的不同形式,均会对企业创新的边际条件产生影响,并且不同形式的影响是不同的,进而总产出会发生不同的变化,其中政府对企业R&D提供税收激励效果最大,对企业R&D提供资助次之,而为政府公共研发部门提高研发经费的正效应最小。关键词:政府公共R&D新熊彼特经济增长中图分类号:F061.2文献标识码:AInnovation, Public R&D and Economic GrowthAbstract: In this paper, we construct an endogenous public R&D growth model. Classifying pub
17、lic R&D expenditure in three groups: (1) subsidies to public R&D performed at public institution(public provision); (2) direct funding to private R&D(public funding); (3) tax incentives (or subsidies) to private R&D, we explore the influencing mechanism of the different types to growth equilibrium.
18、We conclude that three types of public R&D expenditure have different impact on the marginal condition of private innovation, and made the aggregate output change differently, in which the effect by tax incentives to private R&D is the biggest, next is by public funding and the smallest is by the pu
19、blic provision.Keywords: public R&D; Neo-Sebumpetertan; economic growthJEL classification: O110,H530机构投资者对基金的“投资组合的适度规模”基于2003年1月-2005年3月中国数据的实证分析韦 倩(山东大学经济研究中心)内容提要:本文选取了中国2003年1月1日以前成立的54只封闭式基金和17只开放式基金为样本,以周收益率为指标,根据所构造投资组合在2003年1月1日-2005年3月31日时段内的数据,考察了投资组合包含的基金数目与组合风险和收益的关系,还考察了跨投资风格组合的情况,证实了跨投
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- 制度 权力 经济 绩效
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