问题如下图:
选项:
A.
B.
C.
解释:
请问老师A为什么不对,price level变动是不确定的吗?
NO.PZ201512020800000205 问题如下 5. The most likely response to Question 2 is a(n): A.increase in the prilevel. B.crease in risk premiums. C.increase in government bt. C is correct.Expansionary fiscpolicies result in currenpreciation in the long run. Unr a portfolio-balanapproach, the assumption is thinvestors hola mix of mestic anforeign assets inclung bon. Fiscstimulus policies result in buet ficits whiare often financebt. the level rises, investors become concerneto how the on-going ficit will finance The country’s centrbank mneeto create more money in orr to purchase the whiwoulcause the currento preciate. Or, the government coulapt a more restrictive fiscpolicy, whiwoulalso preciate the currency.考点portfolio-balanapproach解析注意到,题目提及的是货币在长期的表现。 portfolio-balanapproa本身关注的就是长期,由于扩张的财政政策经常伴随着较高的债务借贷,投资者会担心这样的借贷能不能持续,于是投资者就会撤资,导致本币下降。于此同时,国家为了解决债务问题,会超发货币赎回债务或者是再次实施一个紧缩的货币政策,这两者都会引起货币的贬值。 这里的中文翻译最后一句翻译错了 是紧缩的财政政策 不是紧缩的货币政策
NO.PZ201512020800000205 crease in risk premiums. increase in government bt. C is correct. Expansionary fiscpolicies result in currenpreciation in the long run. Unr a portfolio-balanapproach, the assumption is thinvestors hola mix of mestic anforeign assets inclung bon. Fiscstimulus policies result in buet ficits whiare often financebt. the level rises, investors become concerneto how the on-going ficit will finance The country’s centrbank mneeto create more money in orr to purchase the whiwoulcause the currento preciate. Or, the government coulapt a more restrictive fiscpolicy, whiwoulalso preciate the currency. 考点portfolio-balanapproa解析注意到,题目提及的是货币在长期的表现。 portfolio-balanapproa本身关注的就是长期,由于扩张的财政政策经常伴随着较高的债务借贷,投资者会担心这样的借贷能不能持续,于是投资者就会撤资,导致本币下降。 于此同时,国家为了解决债务问题,会超发货币赎回债务或者是再次实施一个紧缩的货币政策,这两者都会引起货币的贬值。 我选的C 但是以为考MF 模型中扩张的财政政策要求政府借钱,导致利率上升 这个点。这么理解是否可以呢?
题 问的是为啥在MF 和portfolio approach下扩张货币贬值?我很疑惑这个问法,课件不是说MF专业与短期财政政策,货币最终不是升值;而portfolio approach实行扩张货币,最终导致货币贬值,这个题目问的不是自相矛盾吗?
请问老师portfolio-balance是什么?是考点吗?另外为什么扩张的货币政策会造成本币贬值,谢谢
老师好,对于A和C哲源老师在回答其他同学的答案里讲的很好了。还是想请教下risk premium这里,不是太懂。上一道关于risk premium的题目也没作对,我想彻底搞懂下。请教这里怎么理解risk premium。还请教risk premium多是在什么情况下考虑,什么考法?什么知识点。辛苦老师。