教學大綱
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審定:無 |
課程描述
本課程是四份一學期制總體經濟學研究生課程系列的第二部份,目的是介紹總體經濟學家在分析波動時常用的基本模型。全部課程圍繞九個主題/章節。
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1.波動與事實
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2.基本模型:選擇消費/儲蓄
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3.考慮選擇勞動/閑暇(實際經濟周期模型)
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4.考慮不尋常投資決策
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5.考慮兩種貨品
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6.簡介貨幣
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7.簡介價格形成
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8.簡介定價決策變動、以及應用財政和貨幣政策。
麻省理工學院開設的相關課程:
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1.總體經濟學原理(14.02)
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2.中級總體經濟學理論(14.06)
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3.總體經濟學理論I(14.451)
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4.總體經濟學理論III(14.453)
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5.總體經濟學理論IV (14.454)
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6.高級總體經濟學I(14.461)
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7.高級總體經濟學II(14.462)
成績評定:
本課程成績完全決定於期終考試。
課程描述
This is the second course in the four-quarter graduate sequence in macroeconomics. Its purpose is to introduce the basic models macroeconomists use to study fluctuations.The course is organized around nine topics/sections:
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Fluctuations and Facts
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The basic model: the consumption/saving choice
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Allowing for a labor/leisure choice (the RBC model)
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Allowing for non trivial investment decisions
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Allowing for two goods
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Introducing money
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Introducing price setting
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Introducing staggering of price decisions and Applications to fiscal and monetary policy
Related Courses at MIT
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Principles of Macroeconomics (14.02)
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Intermediate Macroeconomic Theory (14.06)
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Macroeconomic Theory I (14.451)
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Macroeconomic Theory III (14.453)
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Macroeconomic Theory IV (14.454)
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Advanced Macroeconomics I (14.461)
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Advanced Macroeconomics II (14.462)
Grading
Grading for this course is based completely on the final exam.
