The Strategies and Selection of the Global Financial Crisis
本文關(guān)鍵詞:全球金融危機(jī)治理的理論策略選擇——基于馬克思與凱恩斯宏觀經(jīng)濟(jì)理論的比較分析,,由筆耕文化傳播整理發(fā)布。
全球金融危機(jī)治理的理論策略選擇——基于馬克思與凱恩斯宏觀經(jīng)濟(jì)理論的比較分析 The Strategies and Selection of the Global Financial Crisis Management
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摘要:
在本輪全球金融危機(jī)治理背景下,回到馬克思還是回到凱恩斯再一次引起了人們的深刻思考。馬克思的宏觀經(jīng)濟(jì)思想與凱恩斯的宏觀經(jīng)濟(jì)學(xué)是兩種不同性質(zhì)的經(jīng)濟(jì)理論,他們的經(jīng)濟(jì)理論在研究出發(fā)點(diǎn)、理論基礎(chǔ)、分析方法和內(nèi)容體系等方面都存在著根本的差別,對(duì)治理資本主義經(jīng)濟(jì)危機(jī)給出了性質(zhì)迥異的答案。
Abstract:
Marx and Keynes did the same research of the economic phenomenon and problem in capitalist system in succession.In the background of global financial crisis administration,returning to Marx or to Keynes has once again aroused people's deep thinking.We can find that Marx's macroeconomic thought and Keynes' belong to different properties,and they are different in the research starting point,the theoretical foundation,the mode of analysis and the content.Marx and Keynes gave the very different answers on how to deal with the capitalist economic crisis.
本文關(guān)鍵詞:全球金融危機(jī)治理的理論策略選擇——基于馬克思與凱恩斯宏觀經(jīng)濟(jì)理論的比較分析,由筆耕文化傳播整理發(fā)布。
本文編號(hào):133965
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