{"created":"2023-05-15T15:32:50.236937+00:00","id":13088,"links":{},"metadata":{"_buckets":{"deposit":"4b49f17a-b12f-47e3-92a1-a5f9cbdeca57"},"_deposit":{"created_by":10,"id":"13088","owners":[10],"pid":{"revision_id":0,"type":"depid","value":"13088"},"status":"published"},"_oai":{"id":"oai:shiga-u.repo.nii.ac.jp:00013088","sets":["1159:1162:1165"]},"author_link":["46760","46762","46761"],"item_7_alternative_title_20":{"attribute_name":"タイトル(ヨミ)","attribute_value_mlt":[{"subitem_alternative_title":"キンユウ コウゾウ ノ ヘンカ オ コウリョシタ ポスト ケインズハ マクロ ドウガク : テンボウ"}]},"item_7_biblio_info_8":{"attribute_name":"書誌情報","attribute_value_mlt":[{"bibliographicIssueDates":{"bibliographicIssueDate":"2018-09","bibliographicIssueDateType":"Issued"},"bibliographicIssueNumber":"No-67","bibliographicPageEnd":"19","bibliographicPageStart":"1","bibliographic_titles":[{"bibliographic_title":"CRR Discussion Paper, Series J"}]}]},"item_7_description_43":{"attribute_name":"資源タイプ","attribute_value_mlt":[{"subitem_description":"Technical Report","subitem_description_type":"Other"}]},"item_7_description_5":{"attribute_name":"抄録","attribute_value_mlt":[{"subitem_description":"サブプライム問題に端を発した世界的な金融危機の発生により、異端の経済学者であるH.P. ミンスキーの金融不安定性仮説は注目を浴びた。金融不安定性仮説は、多くの非新古典亜経済学者により数理モデルに展開されたが、その定式化は多岐に渡っている。本稿では、金融不安定性仮説の金融構造に焦点を当て、金融構造の変化を考慮したポスト・ケインズ派マクロ動学モデルを概観し、その特徴を整理して今後の研究の方向性を展望する。","subitem_description_type":"Abstract"}]},"item_7_description_7":{"attribute_name":"引用","attribute_value_mlt":[{"subitem_description":"CRR Discussion Paper, Series J, No-67, pp. 1-19","subitem_description_type":"Other"}]},"item_7_full_name_2":{"attribute_name":"著者(ヨミ)","attribute_value_mlt":[{"nameIdentifiers":[{}],"names":[{"name":"ニノミヤ, ケンシロウ"}]}]},"item_7_full_name_3":{"attribute_name":"著者別名","attribute_value_mlt":[{"nameIdentifiers":[{}],"names":[{"name":"Ninomiya, Kenshiro"}]}]},"item_7_publisher_35":{"attribute_name":"出版者","attribute_value_mlt":[{"subitem_publisher":"滋賀大学経済学部リスク研究センター "}]},"item_7_text_36":{"attribute_name":"出版者(ヨミ)","attribute_value_mlt":[{"subitem_text_value":"シガ ダイガク ケイザイ ガクブ リスク ケンキュウ センター"}]},"item_7_text_37":{"attribute_name":"出版者別名","attribute_value_mlt":[{"subitem_text_value":"Center for Risk Research (CRR), Shiga University"}]},"item_7_text_4":{"attribute_name":"著者所属","attribute_value_mlt":[{"subitem_text_value":"滋賀大学経済学部"}]},"item_creator":{"attribute_name":"著者","attribute_type":"creator","attribute_value_mlt":[{"creatorNames":[{"creatorName":"二宮, 健史郎"}],"nameIdentifiers":[{}]}]},"item_files":{"attribute_name":"ファイル情報","attribute_type":"file","attribute_value_mlt":[{"accessrole":"open_date","date":[{"dateType":"Available","dateValue":"2018-10-17"}],"displaytype":"detail","filename":"DPJ67_p.1-19二宮.pdf","filesize":[{"value":"288.2 kB"}],"format":"application/pdf","licensetype":"license_note","mimetype":"application/pdf","url":{"label":"DPJ67_p.1-19二宮.pdf","url":"https://shiga-u.repo.nii.ac.jp/record/13088/files/DPJ67_p.1-19二宮.pdf"},"version_id":"720f7f25-6686-488a-bd9c-34969d677557"}]},"item_language":{"attribute_name":"言語","attribute_value_mlt":[{"subitem_language":"jpn"}]},"item_resource_type":{"attribute_name":"資源タイプ","attribute_value_mlt":[{"resourcetype":"technical report","resourceuri":"http://purl.org/coar/resource_type/c_18gh"}]},"item_title":"金融構造の変化を考慮したポスト・ケインズ派マクロ動学 : 展望","item_titles":{"attribute_name":"タイトル","attribute_value_mlt":[{"subitem_title":"金融構造の変化を考慮したポスト・ケインズ派マクロ動学 : 展望"}]},"item_type_id":"7","owner":"10","path":["1165"],"pubdate":{"attribute_name":"公開日","attribute_value":"2018-10-17"},"publish_date":"2018-10-17","publish_status":"0","recid":"13088","relation_version_is_last":true,"title":["金融構造の変化を考慮したポスト・ケインズ派マクロ動学 : 展望"],"weko_creator_id":"10","weko_shared_id":-1},"updated":"2023-05-15T17:19:02.969271+00:00"}