International market risk, monetary policy stance, and corporate financing: China's economic recovery in the post-pandemic era
From MaRDI portal
Publication:6176407
DOI10.1007/s10878-023-01072-zOpenAlexW4385630570MaRDI QIDQ6176407
Publication date: 22 August 2023
Published in: Journal of Combinatorial Optimization (Search for Journal in Brave)
Full work available at URL: https://doi.org/10.1007/s10878-023-01072-z
COVID-19capital account liberalizationcredit financinginternational market riskmonetary policy stance
Macroeconomic theory (monetary models, models of taxation) (91B64) Corporate finance (dividends, real options, etc.) (91G50) Dynamic stochastic general equilibrium theory (91B51)
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