Adjustment and Income Distribution: A Counterfactual Analysis
收藏NBER1989-04-01 更新2025-01-04 收录
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https://www.nber.org/papers/w2943
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资源简介:
This paper presents a structural macro simulation model to quantify the effects of alternative stabilization packages on the distribution of income and wealth. The model combines the explicit microeconomic optimizing behavior characteristic of computable general equilibrium models with asset
本文提出一款结构化宏观仿真模型,用以量化各类备选稳定政策组合对收入与财富分配的影响。该模型将可计算一般均衡模型(computable general equilibrium models)所具备的显性微观经济优化行为特征,与资产(asset)相结合。
提供机构:
美国国家经济研究局
创建时间:
1989-04-01



