Stock market booms and monetary policy in the twentieth century

被引:0
|
作者
Bordo, Michael D. [1 ]
Wheelock, David C.
机构
[1] Rutgers State Univ, Piscataway, NJ 08855 USA
[2] Natl Bur Econ Res, Cambridge, MA 02138 USA
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中图分类号
F8 [财政、金融];
学科分类号
0202 ;
摘要
This article examines the association between stock market booms and monetary policy in the United States and nine other developed countries during the 20th century. The authors find, as was true of the U.S. stock market boom of 1994-2000, that booms typically arose during periods of above-average growth of real output and below-average inflation, suggesting that booms reflected both real macroeconomic phenomena and monetary policy. They find little evidence that booms were fueled by excessive liquidity. Booms often ended within a few months of an increase in inflation and consequent monetary policy tightening. They find few differences across the different monetary policy regimes of the century.
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页码:91 / 122
页数:32
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