Macroeconomic Fluctuations and Policies
Challe, Edouard, Emanuel, Susan
- 出版商: MIT
- 出版日期: 2023-09-19
- 售價: $5,060
- 貴賓價: 9.5 折 $4,807
- 語言: 英文
- 頁數: 360
- 裝訂: Quality Paper - also called trade paper
- ISBN: 0262549298
- ISBN-13: 9780262549295
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商品描述
The basic tools for analyzing macroeconomic fluctuations and policies, applied to concrete issues and presented within an integrated New Keynesian framework. This textbook presents the basic tools for analyzing macroeconomic fluctuations and policies and applies them to contemporary issues. It employs a unified New Keynesian framework for understanding business cycles, major crises, and macroeconomic policies, introducing students to the approach most often used in academic macroeconomic analysis and by central banks and international institutions. The book addresses such topics as how recessions and crises spread; what instruments central banks and governments have to stimulate activity when private demand is weak; and what "unconventional" macroeconomic policies might work when conventional monetary policy loses its effectiveness (as has happened in many countries in the aftermath of the Great Recession.). The text introduces the foundations of modern business cycle theory through the notions of aggregate demand and aggregate supply, and then applies the theory to the study of regular business-cycle fluctuations in output, inflation, and employment. It considers conventional monetary and fiscal policies aimed at stabilizing the business cycle, and examines unconventional macroeconomic policies, including forward guidance and quantitative easing, in situations of "liquidity trap"--deep crises in which conventional policies are either ineffective or have very different effects than in normal time. This book is the first to use the New Keynesian framework at the advanced undergraduate level, connecting undergraduate learning not only with the more advanced tools taught at the graduate level but also with the large body of policy-oriented research in academic journals. End-of-chapter problems help students master the materials presented.
商品描述(中文翻譯)
本教科書介紹了分析宏觀經濟波動和政策的基本工具,並將其應用於當代議題。它採用統一的新凱恩斯主義框架來理解商業週期、重大危機和宏觀經濟政策,讓學生熟悉學術宏觀經濟分析以及中央銀行和國際機構最常使用的方法。本書探討了如經濟衰退和危機如何擴散;中央銀行和政府在私人需求疲弱時用來刺激活動的工具;以及當傳統貨幣政策失去效力時(如在大衰退後的許多國家所發生的情況),哪些「非常規」宏觀經濟政策可能有效。
本書通過總需求和總供給的概念介紹現代商業週期理論的基礎,然後將該理論應用於研究產出、通脹和就業的常規商業週期波動。它考慮了旨在穩定商業週期的傳統貨幣和財政政策,並在「流動性陷阱」的情況下檢視非常規宏觀經濟政策,包括前瞻指引和量化寬鬆——這是一種在傳統政策無效或效果與正常時期截然不同的深度危機。
本書是第一本在高級本科層次使用新凱恩斯主義框架的教材,將本科生的學習與研究生層次教授的更高級工具以及學術期刊中大量以政策為導向的研究相連結。每章結尾的問題幫助學生掌握所呈現的材料。