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近三十年来,宏观管理国债规模的研究,呈现出行政学和公共经济学交融的新趋势。本研究将重点关注政府宏观管理体制下,国债规模管理与预算赤字、国家税收和政府支出等关键变量的联系。文章梳理了宏观管理国债规模的主要研究进展,并分析了既有研究的内在联系及可能存在的研究空间。研究认为,在目前我国政府行政体制改革全面推进和经济高速发展的大环境下,政府运用好国债工具是保证经济持续稳定增长、促进社会和谐发展的主要经济手段,同时也是政府经济执政能力提高的重要标志。
In the past three decades, the study of the macro-management of government bonds has shown a new trend of integration of administration and public economics. This study will focus on the linkages between key variables such as government bond size management and budget deficits, state taxes and government expenditures under the government’s macro-management system. The article reviews the major research progress on the macro-management of government bonds and analyzes the inherent connection between existing research and possible research space. The study shows that under the current environment of all-round promotion of government administration reform and the rapid economic development in our country, the government’s use of good debt instruments is the main economic measure to ensure sustained and steady economic growth and promote the harmonious development of the society. At the same time, it is also an important measure for improving the government’s ability to govern. Important signs.