COVID-19及其对金融市场和实体经济的影响

COVID-19 and Its Impact on Financial Markets and the Real Economy

Review of Financial Studies · 2021
被引 158 · 同刊同年前 8%
人大 AFT50UTD24ABS 4*

中文导读

综述了COVID-19大流行对全球金融市场和实体经济的冲击,以及大规模货币与财政政策干预的效果,适合关注疫情经济影响和政策应对的研究者快速了解该领域最新进展。

Abstract

Abstract The COVID-19 pandemic severely disrupted financial markets and the real economy worldwide. These extraordinary events prompted large monetary and fiscal policy interventions. Recognizing the unusual nature of the shock, the academic community has produced an impressive amount of research during the last year. Macro-finance models have been extended to analyze the impact of epidemics. Empirical papers study the origins and consequences of the disruptions and the impact of policy interventions. New research evaluates the ongoing financial fragility and its relation to previous episodes and regulations. This special issue contains early contributions to this important and rapidly developing literature.1

COVID-19金融市场实体经济宏观金融模型